Handle accounts payable and receivable
Maintain records of business costs, such as labor and material
Check invoices for inaccuracies
Reconcile accounts with the general ledger
Handle general account queries
Preparing and disbursing Payrolls
Basic accounting entry
Tax Working For Income tax/ Filling
Tax Working For Sindh Sale Tax / Filling
IATA Related Working All Procedure For Yearly Audited Financial, Secp & Banks
Skills
MS Excel
Book Keeping
Bsp Reports Reconciliation , Air Line Reports Reconciliation , Supplier Statement Reconciliation, Client ledger Reconciliation, Invoice posting Reconciliation, visa Reconciliation, Branches Reconciliation and all are weekly reports now updates and check ......
cash book , bank book , bank reconciliation,receiving & payment voucher , filling , emails etc