Under direction, performs a variety of professional level accounting duties involved in preparing,
maintaining, analyzing, verifying, and reconciling complex financial transactions, statements, records,
and reports; maintains the accuracy of the City’s ledgers and subsidiary financial systems; assists in the
preparation of assigned budgets, annual audit, and year end closing; and provides highly responsible staff
assistance to assigned management staff.
To maintain sales report and activity made at display centre’s on daily basis.
To update sales data of all display centers’ sent to HQ on daily basis by them.
To prepare display centre shops weekly sales report for Retail Commercial.
To arrange stocks for displays center with liaison of Manager Retail Commercial.
Prepared invoices, expense reports, and payment memos.
To prepare display centre monthly closing sales report.
To arrange Stationery and POP for display centres.
To prepare monthly financial adjustment report if any with the help of Finance team.
To ensure checking of display centre’s petty cash vouchers once a month.
To prepare daily sales and collections report of the entire retail network display centre’s for Retail Operations on prescribed format