I have 4 months experience as a Accounts assistant trainee, their I Support Daily functions of Accounts departments by assisting with Purchase ledgers and Daily cash postings,Record Manual payments accurately on Reconciliation System,Worked under guidance of Accountants to Prepare Financial Data in correct formats. Then i got another job as an accounts executive in a construction company and i done Tax Calculations and Workings, Record Cash Receipts and Bank Deposits, Calculation of Association Maintenance Charges, Reconciliation Statements of Banks, Auditing of Payments and Stock Updating. 6, Collect and Processed Payments, Accounted for all Inventory and Ordered New Stock, Examined Financial Documents to check total verified Transaction Accuracy and Identify Discrepancies and Recorded manual Payments accurately on Reconciliation systems.