linda manufacturing company
November 2011 - Present Day (5 years 4 months)
- Carrying out bank transactions and reconciliations.
- Weekly reconciliation of customer balance.
- Confirmation of customers’ payments and issuing accounting slip to that effect.
- Updating records of sub-materials supplied and issuing cheque for payment as at when due.
- Posting all daily transactions using MYOB premium accounting software.
- Preparing and making effective use of account documents/vouchers.
- Ensuring proper documentation of all payments using relevant account documentation.
- Handling taxes, VATs, operational and development levies payments with proper documentation using relevant forms.