Analyze financial information and prepare financial reports to determine or maintain record of assets, liabilities, profit and loss, or other financial activities within an organization
Prepares, compiles, and sorts documents for data entry. Verifies and logs receipt of data. Transcribes source data into the required electronic format. Transfers information from paper formats into computer files using keyboards, data recorders, or optical scanners.
Data entry receivable and payable and maintain petty cash , cash book, trial balance every month.
Maintain patty cash, cash book, Account ledger, bank book, voucher file, bills and office work also