Responsibilities:
Ledger Management:
Cash Flow Analysis:
Voucher Creation:
Reconciliation:
Conduct regular reconciliations of accounts, including bank statements, to identify discrepancies and ensure accuracy.
Financial Reporting:
Assist in the preparation of financial reports, including balance sheets, income statements, and cash flow statements.
Audit Support:
Provide support during audit engagements by organizing financial data, preparing schedules, and assisting auditors as needed.
We are serving in electrical market since 1983 we have 5 shops in lahore and one in karachi .we deals in 10000 products in electrical.