Entry of Accounting vouchers in Accounting System. Actively follow up with Sales & Service Department for timely collection of Income Tax &…
Main Responsibilities: • Preparation and submission of monthly sales tax return (FBR and Provincial) with processing of payment and reconciliation of monthly…
Job Description: • Core management of the Companies Bank Books and also responding to emails. • Reconciliation of Payment vouchers and details…
Ensuring that financial records are accurately maintained Overseeing book keeping & financial reporting Monitoring & implementation of internal financial controls Cash flow…
Job Description Preparing of Cash / Bank Book, Reconciliation, Invoicing, Stock Report, Other related working • Salary range: 18,000 to 22,000 •…
Criteria for Eligibility (Education/Experience/Language ) • Must be a MBBS/Pharm D.. • 2 or more years work experience will be an advantage…
Job Description: 1. Sales and Bank Reconciliation: I. Ensure daily deposited of fund into Bank by all CNG stations. II. Ensure daily…
Book keeping in accounting software Reconciliation of Party and Bank Ledgers Other accounts related routine work General Correspondence Skills Required: