- Managing accounts & book keeping
- Vendor management
- Receipts from Customers
- Inventory Management
- Filling & Compliance of Monthly W.H. & Sale Tax statement on FBR Website
- Maintaining Bank Accounts, funds management and issuance of payments to Vendors
- Preperation of Monthly Cash Flows
- Make Invoices as per client requirements
- Inventory Accounts
- Finance Planning
- Banking
- Computer Skills
- Preperaion of Bank Payment Vouchers (BP), Journal Vouchers (JV), AP Invoices
- Clients and Bank reconciliation
- Preperation of replies for notices by FBR