• Daily Cash Sale report to Manager.
• Make Recovery Statements of customers.
• Fill cheque slips for deposit Checks in Bank.
• Manage Day to Day expenses and report to Manager.
• Maintain all record of Office.
• Maintain daily over time of employees.
• Maintain Daily Conversion report.
• Receive Stock and Balance then total raw material received from companies.
• Daily Input and out put report to Manager.
• Check the Stock Issue by Manager .
• Making daily Production report in MS Excel.
• Daily Stock report to the Manager.
• Daily Cash Sale of Products.
• Issue and Receiving of Products and ensure that the quantity of Products is fulfilled.
• Making Salaries of Employees.
• Daily Conversion Report to Manager.
• Data entry of Stock in Microsoft Excel on daily Basis.
• Manage day to day expenses.
• Maintain all record of Products available in Stock.