The Bill and gather relevant documents.Verify the completeness and accuracy of the documents used in the Bill, with document delivery to customers.Save the details of the money available to sign When you receive a cash or check payment from the customer.Make a deposit to the Bank to cash a cheque and bank deposits.Check the completeness of the deposit slips returned from the Bank.Make cash daily status reports from the settlement amount money every day with a Manager.Check the sort of payment voucher checks, and the completeness of the documents that have been.Prepare a cheque with a record number of vouchers and checks in the control list, check.Check check check and payment voucher with your receipt.Summarize detailed checks that have not yet come.Check the remaining count does not have to come and check the check list to check reports that counted on hand without a receipt.Prepare a bank reconciliation statement report. Proposed to bosses.
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