I will do tally prime bookkeeping accounting, and data entry professionally
About this Gig
Are you looking for a professional and reliable Tally Prime expert to manage your accounting records?
Youre at the right place! I provide accurate and organized Tally Prime accounting and bookkeeping services for businesses, startups, and individuals.
My Tally Prime Services Include:
Company Creation & Setup
Ledger & Group Creation
Sales & Purchase Entries
Payment & Receipt Entries
Journal & Contra Entries
GST Accounting & Entries
Bank Reconciliation
Accounts Receivable & Payable
Inventory & Stock Management
Trial Balance & Profit & Loss Account
Balance Sheet Preparation
Data Correction & Account Cleanup
Financial Reports & Accounting Data Management
Why Choose Me?
⭐ Accurate and organized work
⭐ Professional accounting approach
⭐ Attention to detail
⭐ Confidential handling of your data
⭐ Timely delivery
⭐ Clear communication
⭐ Client satisfaction is my priority
Whether you need regular bookkeeping, accounting data entry, Tally Prime setup or cleanup of existing accounts, I can help you keep your financial records accurate and well organized.
Message me before placing an order so we can discuss your requirements and choose the right package for your project.
Lets keep your account
Gigs are not screened
Please note that there is no screening process for this service. We recommend that you message the freelancer and check all necessary details before placing your order. Read more about Financial services at Fiverr.
FAQ
What do you need to get started?
Please provide your Tally data and relevant invoices, bills, bank statements, or Excel files.
Which software do you use?
I primarily work with Tally Prime for accounting and bookkeeping.
Can you work on existing Tally data?
Yes, I can update, organize, and maintain your existing Tally Prime data.
Is my financial data confidential?
Yes. All client data and financial information are handled with strict confidentiality.
Can you handle bulk transactions?
Yes, I can handle bulk Tally entries depending on the transaction volume and project requirements.

