1. Check the documentation before paying a cheque to pay for various situations
2. Check the authenticity of the documents, recheck calculations and approvals
3. Prepared a voucher checks (Cheque Voucher) and prepared cheque for Suppliers , The Government
4. Issued Withholding Tax
5. Record the payout from the voucher check with check accuracy of records.
6. Record to account for the purchase.
7. The summary prepared in the purchase journal and voucher, along with general accounting related to every end of the month.
8. Key and reconciled Input Vat
9. Prepared tax (PP. 30) PND. 1, PND. 3, PND. 53,
10. Reporting the outstanding payables at the end of every month to bosses.
11. Prepare a report analyzing the age at the end of the following month payable supervisor.
12. Bank reconciled
13. Cash flow
14. Petty Cash
15. Check the cost for Part-time employees and PC
16. Prepared accounts payable aging report