Seeking a position to utilize my skills and abilities in industry, that
offers professional growth and learning environment while being resourceful, innovative and
flexible. To work in a challenging, competitive and professional environment at a
responsible and rewarding position with an organization that ensure career development
and growth opportunities, where I can explore new areas of knowledge and think the
unthinkable**.**
Initiative ,hard working ,Self-motivate , goal &task oriented & Capable
to Work under pressure.
web Communication skills with foreign study
Strong interpersonal skill & Team working Aptitude .
Preparing Invoicing, quotation and controlling accounts
payable & receivable.
II. Maintain documents of banks and preparing deposit slip.
III. Preparing bank reconciliation.
IV. Maintains documents for Business finance.
V. Business correspondence to various government
organization and customer dealing
I. Daily Data Entry of Tickets, Recovery, Recovery, Deposits,
Refunds, Journal Vouches, Passport & Name of Umrah Pax.Cash
transaction should be properly banked on daily basis and cash
in hand at evening should be zero. II. Preparation refund claim
documents before sending to head office. Handling of stock on
FIFO basis.
III. Must send data to head office on daily basis. Any correction /
rectification as instructed by head office should be
implemented immediately.