• Verified all invoice and amount match with BRS
• Record all revenue and tour expenses (Account payable /Receivable) on every invoice.
• Import all POs SOs services/hotel.
• Verify guide settlements and record tour expenses.
• Summarize list of payments with bank payment details every Wednes-day and make the payments as schudule.
• Issue WHT certificate for all services (if any).
• Follow up the receipts/ tax invoices from hotel suppliers.
• Reconciliation at month end