Seeking a career with an oriented organization; that can provide me the platform for becoming a well-recognized professional and ultimately attaining prestige and pride for the organization and for myself as well.
Prepare entries to accounts, such as in cash book and general ledger accounts, documenting business transactions.
Prepared trial balance, profit and loss statement, balance sheet, and other reports to summarize current company financial position.
Maintained and updated all official statements (Monthly / Quarterly) for higher management.
Dealing with different vendors, expanses...
Involved in network administration, installation/configuration of different Software and troubleshooting.
Ensured daily bank deposits were fulfilled, and generated monthly reports sent to Corporate.
Maintained accurate daily and monthly summary reports, and reported to Corporate weekly.
Provided students with receipt of payment and additional customer assistance.
Handling all routine bank matters and reconcile the bank accounts on monthly basis
Recorded information and maintained current documentation
Communicated both verbally and in writing with customers, vendors and other third parties
Looking for Administration and accounts related issue
Supervise daily administrative operations
Supervise daily accounts work
Monitor expenses and suggest cost-effective alternatives
Develop and implement effective policies for all operational procedures
Prepare work schedules and staff duty roasters
Maintain organized medical and employee records
Monitor administrative staff’s performance
Train new employees
Ensure prompt ordering and stocking of medical and office supplies
Answer queries from doctors, nurses and healthcare staff
Resolve potential issues with patients
Collect cash from cash counter and deposit into banks.
Prepare financial documents such as patient discharge bills, purchase orders.
Monthly management accounts preparations and handling account payables
Preparation of profit and loss accounts on monthly basis
Handling all routine bank matters and reconcile the bank accounts on monthly basis
Prepare records of accounts for monthly Internal Audit
Preparation of Monthly Salary Sheets
Handling routine petty cash expenses
Bank Reconciliation Statement
Handling Accounts Payable
Handling Accounts Receivable
Preparation of Monthly Salary Sheet
Preparation of Daily MIS Report
Petty Cash/ Imprest
Internal Audit of Records
Preparation and Issuance of Rent Invoices and Utility Bill and their Recovery.
Handling Daily Routine Bank matters.
Daily Cash/Cheques Collection from Tenants and deposit into the bank.
Filling and checking of Monthly Income Tax Statements.