Accountant
Asymmetric Logistics & Investments L.L.C.
Total des années d'expérience :7 years, 7 Mois
Preparation of Cash & Bank Vouchers of goods received from the suppliers.
Preparation of Petty Cash entries to proper heads.
Vendor Account Reconcilation.
Bank Reconcilation, Suppliers reconcilation.
Branch Reconcilation.
Internal Audit of Cash, Bank & Technucak Audit, Bank & Journal Vouchers etc.
Journal Entries, Bank Reconciliation, Cash payments, Bill payments, Journal Entries, Bank and Cash entries, receipts and payments
Handling Daily Cash entries, bank reconciliation, journal entries, debit credit notes, banking transactions, payments and receipts.
Have knowledge of Tally ERP certificates and other accounting softwares