Accountant April 17, 2021 at 04:29AM
Tracking bank transactions.Handle the process of facilities renewal with all banks.Record all the visa Payments on the system.File all the documents properly.Update cash out and Cash IN.Send Various Reports.Handle all issues related to the visa payment with the stations and Solve customer problems related to the pre-authorization amount hold.Perform monthly and annual bank reconciliation.Track the loans on a monthly basis.
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