ABB Powerlines Ltd February 2008 - at PresentDisbursement of cash as per authority guide line
updating financial records
balance cash daily to ensure accurate financial position of the company
Monitoring of Advances and ensure timely settlement.
Handling daily transaction of petty cash
ensuring monthly reconciliation and completed on time.
Accurate record keeping. etc
J. D Kutons Nigeria Ltd March 2001 - January 2003Receives and inspect all incoming materials and reconcile with order.
Filling supplies requisition
Verify receipt of suppliers and reconcile with Purchase Orders
preparing property list
keeping track of obsolete materials
taking of inventory when due. etc