Checking verifying and booking settlements Salaries
Verifying booking of invoices, Delivery notes received from store Monthly Bank Reconciliation
Preparing payments for cash /advance PO's/Credit suppliers ABIS current account reconciliation
Raising booking of sales invoices for each Abiac sites in Focus Program Checking of petty cash reimbursed accordingly which was submitted
Checking verifying and booking settlements Salaries
Verifying booking of invoices, Delivery notes received from store Monthly Bank Reconciliation
Preparing payments for cash /advance PO's/Credit suppliers ABIS current account reconciliation
Raising booking of sales invoices for each Abiac sites in Focus Program Checking of petty cash reimbursed accordingly which was submitted
Checking verifying and booking settlements Salaries
Verifying booking of invoices, Delivery notes received from store Monthly Bank Reconciliation
Preparing payments for cash /advance PO's/Credit suppliers ABIS current account reconciliation
Raising booking of sales invoices for each Abiac sites in Focus Program Checking of petty cash reimbursed accordingly which was submitted