Book keeping Accounts payables / Receivables Banks related work ( cheques/Cash Deposit, other misc. Working ) Accounts Reconciliation Maintain Parties ledger Peety cash handling GST Invoices Accounts Statement maintenanc all woring in odoo software
Bank reconciliations
Accounts receivable/payable management
Invoice entries into software
Cash Handling
Salaries making
Ledger maintain
Daily expenditure
Afzaal Agencies (Authorized distribution agents of the Nestle pakistan)
Processing supplier invoices and accounts payable journal
Conducting Stock Counts with proper examination of physical condition.
Ensuring inventory is picked, scanned and packed in a timely manner.
Bank reconciliations
Providing assistance with various issues relating to warehouse management.
Accounts receivable management
Daily invoice entries into software