• Entry of payment, cash deposit, check & credit card deposit.
• Check accounts payable and accounts receivable statement of account.
• Entry of banks interest.
• Checking of stock documents.
• Report of uncollected cheque/ credit card.
• Checking duplicate clients account.
• Entry of travel expenses.
• Entry of rates.
• Prepare purchase request for external services.
• Checking & closing the fund's trial balance.
• Cash data entry.
• Filing and archiving.