Bookkeeping:Maintain accurate financial records. Journal Entries:Post all transactions. Bank Reconciliation:Reconcile bank statements. Delivery Notes:Process delivery notes. Contra Entry:Adjust cash/bank transactions.
Bookkeeping:Maintain accurate financial records. Journal Entries:Post all transactions. Bank Reconciliation:Reconcile bank statements. Delivery Notes:Process delivery notes. Contra Entry:Adjust cash/bank transactions.