The deposit/transfer to bring in cash and cheque deposits to banks.
-Validation of the chosen deposit received
-Confirm the transfer to the people involved.
-Save data sub dash cash weekly/monthly
-Pay/receive documents so be prepared to articulate delivery account.
-Open document notes the tax invoice and cut debts.
-Buck to charge fees, telephone or Internet.
-Supplies stationery Office supplies where each Department ready to computer stationery and office supplies into stock every month.
-Validate your pay cheque details