Prepare invoices and collect relevant documents,
verify the completeness and accuracy of the documents used for billing. With the delivery of customer
detail records of receipts signed upon receipt of cash or checks from customers in payment
Prepare the bank to take cash and checks received to the bank
to check the completeness of the lead. Bank deposits have been returned from the bank
to report the daily cash position from paying the money list daily. Offering managers
determine the sequence number of vouchers and checks the integrity of the document has been
prepared checks. The record number of the payment voucher and check the register control check
, check, check and payment voucher check the receipts
provided a detailed summary pay checks not yet been
counted in the balance where none had been received and checked. Check the list of outstanding checks that no report has been
made to reconcile bank statements. To the bosses
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