To hold a responsible and challenging postion that will allow me to express my abilities, skills and scenes of dedication toward my duties with a sole aim of contributing toward the progress of organisation and personal growth
Maintain Vouchering , General journal, ledger, trial balance, BRS (Bank Reconciliation statement)
1:) ACCOUNTS:Maintaining daily record of income and expenses transaction. Post them in to ledger and prepare trial balance.Voucher management. Separate record of cheque received and payment. Realization of cheque.Prepare daily report of income and expenses. Prepare Salary sheet. Commission sheets of staff & dealers. Separate record of construction expenses. Bank dealing. Separate Record on MS EXEL of daily transaction.Cash counting as cashier
2:) MARKETING/SALES: Dealing office visited clients. Dealing client through contact Data
• Account opening form filling
• Receiving of cheques
• Preparing of vouchers
• Other duties assign by bank staff