Dammam, Saudi Arabia
MS Office Peachtree Accounting Software and Accounting Specialist
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Local Time - 12:47 PM
About Me
Full Command on Preparing of Accounts Journal Ledger Trial Balance Cash Book and Financial Statement Balance Sheet and Income Statement on monthly basis.
Worked in all level of office correspondence secretarial works like preparing Purchase order, Quotation Preparation, Drafting Circular, Memorandum and analyzing fund flow and banking transaction with respect to receipt and payments.
Preparing Stock ledger card for Purchasing Selling & Balancing Stock.
Making Invoice Receipt of Day to Day Transaction.
Making Journal General Entries & posting to Ledger Account & Tally the Trial Balance.
Making Cash book and Reconciling with Bank Book on monthly basis.
Making Employee overtime bonuses & Salary advance Ledger.
Collection of Cash from Customer & deposit to Bank and making journal Entries.
Full command on maintain accounts like journal ledger and Trial Balance cash book.
Maintain Manufacturing Inventory ledger card with different technique like Fifo, Lifo & Avco Methods in periodic and
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$3/hr
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