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· Providing executive-level administrative support
· Coordination with clients/vendors and other departments
· Office Maintenance & Housekeeping
· To co - ordinate with channel partner and manager for delivery, payment and other important strategies.
· Preparing and distributing reports and correspondence
· Daily Bank entries & Reconciliation, NEFT/RTGS, Cheque preparing
· Preparing Cash & Cheque Vouchers & Maintaining Files for Audit.
· Daily Bank entries & Reconciliation, NEFT/RTGS, Cheque preparing.
· Collecting details of Service tax.
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