- Preparing periodic Bank Reconciliation Statement
- Reconciling Company’s ledgers with Vendors and Customers
- Daily Data Entry of various accounting vouchers
- Filing and Bookkeeping of Financial Records
- Daily Reconciliation of Cash for all the POS
- Assisting CFO and Manager Accounts in preparing Management reports
- Assisting in Monthly closings
- Assisting in special assignments
This post is only for UMT students (Current/Alumni), no outsider will be entertained via this portal.