Preparation of a Bill and collect the relevant documents. Check the completeness and accuracy of the documents used in the Bill and document delivery to save the details of the money available to sign. Make a bank deposit to bring cash and bank deposit receipts, checks, Check the completeness of the deposit slips that have been returned from the Bank. Make cash daily status reports from the money list get paid daily. Sequence checking number of voucher pay checks and completeness of the documents received.
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