Seeking a challenging position in a reputed organization where I can learn new skills, expand my knowledge, and leverage my learnings.
The job description included Recording in General ledger, Bank reconciliation,JV , petty cash vouchers, Assets ledger Reconciliation, Rider not reported Reconciliation knowledge of income tax and work on MS Excel.
Checking Books and more sale summaries, Making Books and more Bank payment, Bank receive, journal vouchers, Monthly Bank Reconciliation of Books and more, Books and more UBL omni and MCB Cash deposit entry, Preparation of profit and loss of outlets, Making deposit slips for discount, Books and more Tender reconciliation, Preparation of cash report of all outlets, Online deposit slip vochers of Alfalah Bank and client analysis report of liberty.
Petty Cash handling, making invoice of different parties and sales tax invoice.
Record all sales transactions on POS and accurately process cash, and credit card . Prepare monthly pos reconciliation statement and bank reconciliation statement. Prepare daily sales summery reports in outlets. All expenses, deposited entries. Daily stock report.Maintain a good communication with co-workers and maintain a positive and professional work environment.Clear communication skills aim at understanding each customer s specific needs and providing corresponding services.Advance to increasingly responsible positions, culminating in supervisor role with oversight for a full-service deli.Review and verify contractor payroll for compliance with federal regulations, and submit payroll to appropriate departments.Brew, serve, and sell coffee at Starbucks kiosk within the store.