Making treasury deposit sheets of both stores located in Lahore and Karachi.
Daily Sales reporting and reconciliation of sales among different soft wares like IBM, GIMA, SMA, BI and Oracle JDE Edward etc.
Passing Adjusting entries in Oracle JDE for different reconciliations.
Preparing reconciliations of credit card sales.
Preparing manual credit card refunds.
Preparing and maintaining ledgers of different company accounts.
Handle all the correspondences with the bank.
Ability to work on Quick Books, CRM, Authorize.net and Fidelipay.com
Appropriate computer skills to deal with MS Word, MS Excel, MS Power Point.
Capable of working on Microsoft windows 2000/XP/Vista/Windows 7/Windows 8
Internet, E-mail, Proposal writing with good typing speed.
Track record in Public dealing, direct selling, Network marketing and teaching experience.