Receive pay for services and utilities/outstanding debt accelerated preparation/review invoices delivered to co-owners/residential members. The outstanding receivable statements, to corporate managers to consider chut building intensive action, respond to inquiries of the owner of samachik and about the accounts, prepare a summary of the income account-monthly expenses. Control the issuance of receipts and deliveries, joint owner/members and gathering documents to deliver the audit offices, child supervision, cash usage and cash disbursement cheque verification, release. Presentation Manager to approve and sign the document summary, make up the expense of picking. Daily accounting and cash was deposited into a bank account, the financial status report.
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