Tally Prime Accounting Assistance
Budget / SalaryHourly project
TypeFreelance project
LocationRemote
Posted6 hours ago
The core of this job is keeping my books flawless inside Tally Prime. Every purchase, sale, payment and receipt I send you must be posted the same day, with proper ledgers, GST classifications and narration. After the entries are in place I expect you to generate GST-compliant sales invoices directly from Tally; there is no existing template, so please create a clean, professional layout that follows current regulations.
Bank, customer and supplier accounts have to balance at month-end, so you will run the reconciliation routines and flag any discrepancies immediately. While you work in Tally, keep an eye on the Excel trackers I provide for inventory, tax summaries and other management numbers, updating them so that my weekly MIS report can be produced without last-minute scrambling.
Accuracy, consistency and on-time delivery matter more to me than sheer speed. If you already handle GST, reconciliation and data analysis inside Tally and Excel every day, this assignment should feel familiar. I am happy to answer procedural questions, but I rely on you to notice missing bills, wrong tax codes or mismatched balances before they become problems.
Deliverables I will review and sign off each period:
• Complete, error-free Tally Prime data entry for the period supplied
• GST-ready invoices in the custom format you design
• Reconciled bank, debtor and creditor ledgers with supporting notes on variances
• Updated Excel sheets for inventory, GST input/output and other KPIs
• A concise MIS report highlighting key figures and exceptions
If you can keep this cycle running smoothly, we will have an ongoing partnership.
Bank, customer and supplier accounts have to balance at month-end, so you will run the reconciliation routines and flag any discrepancies immediately. While you work in Tally, keep an eye on the Excel trackers I provide for inventory, tax summaries and other management numbers, updating them so that my weekly MIS report can be produced without last-minute scrambling.
Accuracy, consistency and on-time delivery matter more to me than sheer speed. If you already handle GST, reconciliation and data analysis inside Tally and Excel every day, this assignment should feel familiar. I am happy to answer procedural questions, but I rely on you to notice missing bills, wrong tax codes or mismatched balances before they become problems.
Deliverables I will review and sign off each period:
• Complete, error-free Tally Prime data entry for the period supplied
• GST-ready invoices in the custom format you design
• Reconciled bank, debtor and creditor ledgers with supporting notes on variances
• Updated Excel sheets for inventory, GST input/output and other KPIs
• A concise MIS report highlighting key figures and exceptions
If you can keep this cycle running smoothly, we will have an ongoing partnership.
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