Employer Active
- Bank online payments, cheque issuance and posting the entries
- Loan and other finance documents preparation
- Maintaining cash transactions and petty cash book
- Entry posting for purchases, expenses, sales, payments, receipt collection and journal.
- Preparing invoices and vouchers
- Ensure timely bank payments to vendors and collections from customers
- Reconcile accounts payable and receivable
- Prepare bank reconciliation statements
Full Time