Assistant Finance Manager
Preparing Bank Reconciliation Statement
Maintain Company Ledger Accounts
Prepare Company Trial Balance
Preparing Worker Salaries Slips
Maintain Petty Cash and Day Book
Ensure Financing Availability to Fulfill Customers Demand
Participating in Financing Decision of Company
Ensure Availability of Raw Material For Production
Dealing with Parties in Payments
Preparing of Sale Tax Invoices and Bills for Customer
Submitting Monthly Sale Tax Returns
Preparing of Social Security and EOBI of Company Workers
Booking Keeping of Daily Voucher like Bank Payment Voucher, General Voucher, Cash Payment Voucher, Bank Receipt Voucher Etc.
Dealing in Account Receivable, Accounts Payable of Company
Record Keeping of Bills, Invoices, Cost Sheets about Raw Material & Production ,Sale and Purchase.
Dealing in Company Advances to Workers
Preparing Inward Out ward gate Passes and Delivery Challans.
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