I want to work in a challenging environment that give me chance to grow up that organization and explore my skills to betterment of my company.
Efficient handling of payments / receipt / sorting of local and foreign currency ( cash) Entry of opening cash balance, posting of all receipts and payments. Printing of cash balance statements and tallying of physical cash with general ledger balance. Obtaining accounts summary, teller cash and reserve cash at day end. Handling of the utility bills according to SOP. ATM Operation and Reconciliation.
• Receiving & Validation of Data
• Organizing sheets and collecting data to be entered into online Data base software.
• Analyzing the data for errors.
• Reporting problems with the data.
• Sharing the report with senior members of staff on daily basis
• Keeping the record of previous work
• Accurately entering information