• Payment related all responsibilities (National and international) • Receipt related all responsibilities (National and International) • Petty cash handling • Books entries Like ;payment,receipt,Provision, prepaid expense and others • Asset Register Maintains • Reconciliation (Vendor, Bank & Debtor) • Monthly book closing • P&L report preparation & analysis • Ledger scrutiny • Trial balance overviewing and report submission to management • Daily sales analysis report submission to management