Finance Coordinator
Preparation of Monthly Reconciliation Statement of banks
- Assisting the management in the preparation of company's master budget
- Preparation of company's budget control document
- Preparation of monthly variance report and consultants with concern departments for reasons of adverse variance
- preparation of Daily Cash Flow Report of the company
- Preparation of with holding Tax Deduction certificates for individuals and corporates
- Filing of withholding Tax Deducted to EBR
- Preparation of the monthly income Tax Reports
- Students fees booking in Microsoft D365 GL and maintaining students financial records in Campus on cloud ERP system
- Involve in the financial matters of All Educational Institutes of RMI
- Involve in the process of preparing the company budget and monthly variance report
- Processing and finalization of monthly medical consultants payments
- Assisting the Assistant Manager Finance in the preparation of monthly financial statement
- Involve in Preparation of cost and benefit analysis for the procurement of plant and machinery
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