Posting of journal entries of income expense and fixed asset additions in Sidat Hayder financials. Posting of sale, purchase entries in Sidat Hayder financials. Posting of salary accruals in Sidat Hayder financials. Reconciliation of bills and hatch reports with software. Reconciliation of Cash in hand & software Figures. Prepare profit and loss for Go fresh. Posting Purchase of all feed, medicines etc at each farm with reconciling it to GRN. Printing of various documents & sending monthly files to audit department
Asst. accountant
Posting of journal entries of income and expense and fixed asset additions in Sidat Hayder
financials.
Posting of sale, purchase entries in Sidat Hayder financials.
Posting of salary accruals in Sidat Hayder financials.
Reconciliation of bills and hatch reports with software.
Reconciliation of Cash in hand & software Figures.
Prepare profit and loss for Go fresh.
Posting Purchase of all feed, medicines etc at each farm with reconciling it to GRN.
Printing of various documents & sending monthly files to audit
department
Internee in project account& Finance domain
Reconciliation of bills with GRN