Hayat Placement Services
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Managing Accounting team and monitoring their activities. Managing accounting operations, account report and reconciliations. Executed accounts receivable/ payable reporting reconciliation. Review of Bank Payments Reconciliation. Prepare expense forecasts manage costs to achieve budget. Monitoring Staff Advance staff welfare. Calculation payment of statutory payments. Finalization and preparation of final accounts. Monitoring of Income tax other cases. Quarterly Internal Audit.Check invoices for inaccuracies Reconcile accounts with the general ledger Handle general account queries.
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