o Create and update expense reports
o Process reimbursement forms
o Prepare bank deposits
o Enter financial transactions into internal databases
o Check spreadsheets for accuracy
o Maintain digital and payment records
o Issue invoices to customers and external partners, as needed
o Billing the payment, purchasing, stock management materials
o Project site payment, deposit, depot bills expenses for sand,
cement etc.,
o Payslip to worker, technical at site construction every weeks or
Monthly
o Review and file payroll documents