- Performing Bank Reconciliation.
- Handling & Preparing Bank Payment.
- Processing Accounts Payable and resolving vendor issues.
- Assist in Receivables Aging & Payment Reports on daily & monthly basis.
- Maintain purchase and sales invoices data in Tally ERP and MS Excel, Microsoft dynamic NAV.
- Maintain Aging and party wise ledge data in system.
- Handle communication with the bank to ensure timely issue resolution.
- Provide administrative support, including scheduling meetings, managing documentation.
- Manage monthly compliance tasks including SESSI and EOBI submissions, utility bill payments and internet services.
- Issue monthly cheques for vendors and employee salaries.
- Process vendor payments and create all vouchers (Payment, Receipt, Journal)
Pay: Up to Rs50,000.00 per month
Work Location: In person