Account Executive cum Cashier
- Maintaining cash, bank transaction and providing fund report to manager
- Preparing cheques, cash and bank vouchers
- Performing daily entry of accounting
- Maintaining ledger books of labour contractor & supplier
- Reconciling bank statement on daily basis
- Handling of petty cash book on daily basis
- Preparing monthly TDS returns
- Liaisoning with INDIABULLS regarding sell report.

