Bank Reconciliation
Maintain Accounts Receivables for Branches
Prepare Ageing Reports for recovery
Vendors Payment
Monthly Profit & Loss Reporting Export / Import Clearance Department
Payment Entries in software against sales
Coordinate with sales person on receivable reports
Purchase Order to vendors for supplies, services & installation.
Tender Documentations, Bidding experience, Liaising for release security deposit
Prepare payorders for shipping lines payment
Prepare quarterly commission reports of sales persons
Logistics / Freight Forwarder / Shipping / Clearing Forwarding operation experience.
Monitoring billing for compliance with all internal policies
Prepare payment receipt vouchers and expense vouchers on daily basis.
Prepare invoices for export clearance & import clearance.
Payment of creditors through cheques, online transfers and telegraphic transfers
Monthly Sales Tax Return Submit.
Monthly Income Tax & WHT Tax Return Submit.
Withholding Tax Income Tax deduction (Vendors + Employees )
Documentation submitted to bank against T.T, Form R, L/Cs Etc.
Intensive knowledge of Banking.
Experience in liaising with Banks, Auditors, and Other departments.
Investigating any accounting discrepancies.
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All company Accounts related matter was responsibly. Taxation, Receivable , Payable, Vendor payment, WHT, Ledger reconciliation, Statements , Bank Related matter L/C, T.T, Machinery Imports etc etc.
Cashier responsibilities
Cash collection
Vouchers issue
Vendor's payment
Reconciliation of cash with System ledger
Providing of discount on different cards
Training of new cashier
Hard working+ Late night sitting
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