PROPER RECORDING OF DOCUMENTS INVOLVES IN CASH AND BANK PROCESS.
PREPARING ALL TYPE OF VOUCHERS LIKE BANK PAYMENT VOUCHER,BANK TRANSFER VOUCHER,BANK CLEARING VOUCHER AND JOURNAL ETC.
PREPARING OF COMPREHENSIVE PAYROLL WORKING OF HEAD OFFICE AND SITES STAFF.
FINALIZE SALARIES & DEDUCTIONS.
DAILY SALES SUMMARY REPORTS RECOVERY AND RECORDING.
PREPARING BANK RECONCILIATION WEEKLY,FORTNIGHTLY AND MONTHLY.
CHECKING OF BANK RECONCILIATION ACCORDING TO SCHEDULE.
MAKE ALL TYPE OF OFFICIAL LETTERS ON BEHALF OF COMPANY.
PREPARING OF CALL DEPOSIT RECEIPT,PAY ORDER & RTGS ETC.
MOREOVER, IF ANY TASK ASSIGNED BY ACCOUNTS MANAGER.
COMPILING ALL THE RULES,REGULATIONS AND POLICIES OF ORGANIZATION.
DEALING WITH BANKS.
PREPARING INTERNAL AND EXTERNAL RECONCILIATION OF VENDOR/CLIENTS MONTHLY.
PREPARING THE LIST OF SOCIAL SEURITY & EOBI AND MAKING PAYMENT FOLLOW-UP.
ONLINE INVOICING AND MAINTAINING IN ERP SYSTEM.
PREPARING WEEKLY,MONTHLY AND QUARTERLY REPORTS FOR HIGHER MANAGEMENT.