Monitoring of Receivable fund management Bank Account Preparation daily Debit Credit Notes and posting in system Reconciliation of Accounts and responsible petty cash funds and vouchers Monitoring of inventory its accounts and worked on manual and computerized daily transaction of bank payment schedule and kept record of all vouchers and made sale reports of chicken sheds and office drafting management.
Handling the cash and daily transaction of banks and amount transaction deal with the customers and maintain the record on software in form of entry for make Daily sale and purchase reports and office drafting management.
Monitoring of Receivable fund management Bank Account Preparation daily Debit Credit Notes and posting in system Reconciliation of Accounts and responsible petty cash funds and vouchers Monitoring of inventory its accounts and worked on manual and computerized daily transaction of bank payment schedule and kept record of all vouchers and made sale reports of chicken sheds and office drafting management.
In this organization I worked about daily transaction of sale and expenses and make the sheets of family members of region and established it as a format and make it record for annual elections and collation of data and office management.