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PakistanLocation
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ID: 2070 Published: 5th March 2018 11:32 pm

 

Management of Account Receivable / Account Payable and its regular reconciliations. Financial reports for the management. Bank reconciliations and daily cash reports while handling Bank deposits/ filing and petty cash checking & reconciliation. Specifically: Daily bookkeeping for accounts, hard copies and software Weekly reconciliation of ledgers with daily sale sheets, material requisition sheet…


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