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Job Responsibility:
Finalization of Accounts, Analyzing financial
Data, Co-ordination with Bankers, Yearly and
Rolling Budget preparation, Analysis on variances
Debtors Management, Cost Control....
Book keeping
Preparation of monthly management reports
Cash management
Dealing with banks
Dealing with local customers
Responsible for checking daily Cash and Bank Entries,
Sales and Purchase Entries, Verifying Bills.
Preparing Vouchers and Ledger Accounts.
Maintaining Monthly BRS / Stocks Statement ETS.
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