To serve in an environment, where I can enhance my capabilities and to achieve an ideal position to deliver at the highest level of services.
During my tenure, as Assistant Manager (Finance) I have had the opportunity to work on a variety of custom software projects. Here are some of the responsibilities I have undertaken.
Managing cash
Reconciling bank statements
Handling expense vouchers
Posting vouchers, on the Sun System online software
Maintaining daily cash book records
Managing cash ledger
Vouchers Posting, into the custom software, including CV, BV and JV.
Compiling the Wages & Salary Sheet.
Handling related duties
I have worked as an account assistant and work on custom software ATR in which include responsibilities are under:
Prepare Chart of Accounts, Prepare Manual and Computerizes Ledger, Book Keeping, Dyeing and Showroom Billing, Bank Reconcile, All Type of Ledgers, All Type of Vouchers, Maintain Expanses, Prepare Salary & Wages Sheet, etc,.