To seek career in a dynamic organization which should provide growth and Opportunity where in my potential ambitions and study can effectively be used for the benefit of the organization and to constantly update myself in the dynamic field Of Management and Finance.
Voucher preparation Cash Payment Voucher, Cash Received Voucher, Bank Payment Voucher, Bank Received Voucher, and Journal Voucher.
Dealing with Banks for Deposit & Withdraw from clients and also check and balance updated
Recording, maintaining and updating of Receivables and payables of the company
Maintain office filing system.
Involvement in all Accounting & Taxation matters.
Prepare Payments to vendors, contractors, utility bills and salaries of staff.
Collect Clients Deposits (In terms of Cash/Cheques/Credit Cards)
Responsible for Monthly Closings (Includes: Bank Reconciliations, Recording of Accruals, and Entering of Debit Summary)
Preparation of, petty cash vouchers entries in cash in hand as well petty cash ledger account.
Preparing of tax, statement on account of salary supplies for each month & submit into Income tax department.
Financial Audits, Tax Audits while coordination with Auditors.
Collect the necessary information and the source documents related to the financial transactions from the concerned people in the organization to update the financial statements daily.
Professional communication skills with antiquate & pronunciation. Ability to adjust with organizational needs.
Maintain the Field force, Head office, and Factory Employer Salary and consider a worker's total working hours, deductions and increments to compute the total amount of salary payable to the workers of the organization
Maintain cash book & Day Book and supplier’s payments done by cash/Banker cheques/Online by making entries under appropriate accounts head of the book.
Fully familiar with work condition and requirements Posses good knowledge of computer field & has communication skills.
Submit monthly reports regarding the expenses and Bank Reconciliation.
Documentation of Sales Tex, Income Tex or any other task Assign by the Management
01- Prepare pay Bill of Government Employee
02- Prepare Medical Reimbursement of Govt. Employee
03- Prepaer TA/DA Employee
04- Prepaer Due Drawn Bills of employee
05- Made payment from AGPR.
06-Prepare Bills of Monthly Salary of Daily basis employee
07- Prepare Salaries Bills of all internees
1- Recording of Customer ledger
2- Petty cash Book
3- Recording of daily expenses and reconciliation
4- Store inventory Management and reconciliation
5- Prepare of employee salary and overtime
6- Creation of customer invoice, order, Quotation
7- Bank Reconciliation
8- With holding Tax & other task assign by the management
Training in Different Departments
1- Account opening
2- Deposit Section
3- Remittance Section
4- pension Section
5- clearing Section