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Accounts Executive
Proper recording of all cash related transactions.
Preparation of cheques on monthly basis.
Preparation of Bank reconciliation statements.
Keep sales record & sales data.
Profit and sales report submission on monthly basis.
Preparation of Bank payment vouchers of different banks for various banking transactions.
Liaison with Banks and handling all banking transactions.
Book Keeping.
Keep record of employees advances & loans.
for more details, contact us at
hr@bluegroupofcompanies.com
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