Finance1. the preparation of the Bill and gather documents associated with check for completeness and accuracy of the documents used in the Bill.2. bank statement to bring cash and bank deposit a check. 3. verify the adequacy of the deposit received from the Bank. 4. preparation of a status report from the list of daily cash payment with cash daily with bosses. 5. prepare a cheque together with the voucher number and log an entry in the register, supervise the checks checks. 6. check the check and payment voucher that you check with your receipt. 7. preparation of the detailed summary check pay the visitor has not yet been. 8. check the remaining counting, no pick up and check list check that counted with the remaining checks report no pick. 9. preparation of bank reconciliation statement report Presented to the bosses. The Sub cash1. review the accuracy of the cash advances and then pay the cash provided to the requester withdraw. 2. preparation of the matter in order to obtain cash cash compensation Bill of lading/sub sub, with various agencies. 3. preparation of the Bill of lading cash compensation to every week, sub agencies. 4. save the entry check cash compensation in cash, sub sub. With checks at banks 5. cash counting/cash advances sub sub sub and cash vouchers that have not been picked with compensatory cash reconciliation statements sub. Other tasks.1. liaise with various departments, both internally – externally. 2. support or work with other relevant agencies. 3. other task as assigned.
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