About Sajeer CT



  • 2016 - 2021
    Nesto Hypermarket


     Managing physical as well as system entry of cash from 11 hypermarkets at HO.  Passing all other routine journal entries.  Expense and income booking on timely basis.  Asset creation entries through journal, MIRO and stock transfer.  Preparing month closing tasks.  Settlement of purchase and expense advance.  Aiding auditors in the entire audit process.  Creating ad hoc reports as and when required.  Carry out hygiene check of G/L and accounts.  Reconcile account statements.  Manage cash payable vendors.  Ensure documental evidence for each and every transaction.  Prepare cash payment and receipt voucher.

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