Following duties are being performed in my past career.
Preparation of Bank reconciliation statements.
Reconciliation of ledgers with parties.
Reconcile receivable and payabls.
Prepare Payment Vouchers
Prepare and verify daily sales report.
Prepare Employee Salary statements on Monthly Basis.
Assisting in preparing of Financial statement.
Facilitate the Auditors in verification of record and documents.
Dealing with day to day transactions (Book-keeping)
Reconcilliation of pension
Writing of cheques
Checking of bills for payment
Prepare with holding tax challan
Assist in preparing of financial statement
Assist to Director finance
Reconciliation of ledger
preparing payment vouchers
Preparing employee salary statement on monthly basis
Assisting in preparing of Financial statement
Assisting in preparing Financial statement
Assisting in annual audit of aAccounts.