Providing Support to the Accounting Department
Cash Book Entry and Making the Invoices.
Banking related Work
Receiving, storing, issuing finance for and controlling the cost
of food, beverage and general supplies.- Receiving, keeping and
disbursing funds.- Prepare payments by verifying documentation and
requesting disbursements.
Completing daily cash , cheque, expenses , receipts , sales ,
purchases entries on daily basis in tally or companies ERP .
6. Work on collection of payments from sundry debtors thro calls,
mails & whatsapp.
Managing the cheque issued and bank deposits.
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