Making day to day transactions,Correspondence with bank for any payment/ facility, Correspondence with the Merchant regarding the credit facility, Communication on behalf of CEO, Account receiveables and payables reconciliation,Identify the goods and related information,Managing and controlling full accounting cycle,Stock taking and reconciliation, Documentation of related records of the company, Preparing payments and dealing with the suppliers, Checking cost of all other purchases for the group Adhere to confidentialiaty