• Record daily petty cash expense.
  • Passing monthly accrual entries and all other journal entries in the system.
  • to prepare & maintain all type of sales tex book i.e. supply register, purchase rigister and consumption statement.
  • perfome bank reconsiliation & making liaison between bank & company.
  • to prepare reconciliation of vendors, customers, banks.
  • prepare cash book / daily vocher and posting it into the system.

Job Details

Total Positions:
3 Posts
Job Shift:
First Shift (Day)
Job Type:
Job Location:
Ferozepur Road, Lahore, Pakistan
Gender:
Male
Minimum Education:
Masters
Degree Title:
MBA, BBA, B.com (hons), in accounts
Career Level:
Experienced Professional
Experience:
2 Years - 5 Years
Apply Before:
Dec 21, 2017
Posting Date:
Nov 20, 2017

Paramount Associates

Construction / Cement / Metals · 51-100 employees - Lahore

Paramount Associates

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