Preparation of Bank & Cash Payment/ Receipt vouchers, Verifies bank accounts,bank reconscilations, markup Calculatios, checks reports for accuracy of posting and calculation and performs other such work.
Performs a variety of routine calculating and posting work in connection with the maintaining of journals and subsidiary ledgers, the preparation of routine accounting reports, and other such accounting work, following well-defined procedures or detailed instructions.
Verify calculations and input codes in to the Accounts system in an accurate manner.
To deal with daily transactions for the petty cash and ensure that reconcilliations are completed on a weekly basis and will ensure all filing is done in a timely and accurate manner.
Maintains files of own work sheets and reports.
IHSAN Sons belongs to a 100% export oriented group and is a leading manufacturer and exporter of Cotton Waste, Surgical Bleached Absorbent Cotton, Yarns, & Nonwoven Fabrics.