35-Tipu Block, New Garden Town,
Ferozepur Road, Lahore,, Pakistan
Job Description
Job Responsibilities:
Responsible for physical & system cash statement reconciliation.
Cross checking of all types of payments ensuring approvals, limits, duplication.
Posting of daily petty cash payment vouchers and close Cash statement on daily basis and share report.
Timely data entry of all vouchers in system.
Ensuring that all data posting into system.