√ Maintain general , journals, ledger, Trial balance, and other financial statement.
√ Maintaining account Payable and Receivable Accounts.
√ Prepare bank Reconciliation statement BRS independently.
√ Assist in preparation of Trading, P&L and Balance sheet.
√ Preparing Payroll and Attendance sheet.
√ Prepare all kinds of budget
√ Records Petty cash entries.
√ Monitor outstanding customer balances and follow up overdue accounts.
√ Organize and file all account documents.
√ Assist senior accountant during month end closing.