Main Responsibilities:
. Prepare final accounts and reports as per management requirements.
. Receivable Management.
. Payable Management.
. Dealing with Parties.
. Bank Reconciliation on Daily Basis.
. Making Payment plans to suppliers as per funds availability.
. Conducting Internal Audit as per management requirements.
Main Responsibilities:
. Prepare final accounts and reports as per management requirements.
. Accounts Payable and Bank Reconciliation on monthly basis.
. Verifying accounting treatment accuracy as per accounting standards.
. Making Bank position on Daily Basis
. Verifying Payroll working (Including Provident Fund, Allowances, Tax deductions etc.)
. Making Payment plans to suppliers as per funds availability.
. Conducting Internal Audit as per management requirements.
. Managing Services Petty Cash as per given target.
. RepRo Software Implementation and integration with Oracle as per Accounting Standards.
. Coordinating with Oracle team regarding software related issues.
Main Responsibilities:
. Bank Reconciliation on Monthly Basis.
. Outstation Branches Stock Taking on Monthly Basis.
. Conducting Internal Audit as per management requirements.
. Managing Services Petty Cash as per given target.
. Expense Management of Outstation Branches.
. RepRo Software Implementation and integration with Oracle as per Accounting Standards.
Main Responsibilities:
. Prepare final accounts and reports as per management requirements.
. Receivable Management.
. Payable Management.
. Dealing with Parties.
. Bank Reconciliation on Daily Basis.
. Making Payment plans to suppliers as per funds availability.
. Conducting Internal Audit as per management requirements.
Main Responsibilities:
. Managing Company Accounts.
. Bank Reconciliation.
. Receivable Management.
. Payable Management.
. Customer Ledger Reconciliation.