JOB DETAILS
- Assist with the preparation of financial statements.
- Analyse and reconcile bank statements and general ledgers.
- Post journal entries for accrued expenses and revenue.
- Maintain and record fixed assets.
- Prepare and file local compliance reporting as necessary to Auditor
- Frequently visit Bank for banking works & to manage Bank Accounts with Net banking
- Handling Courier Management & Orders Excel Data Entry in Excel with coordination from Factory.
FUNCTIONAL AREA
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