Cash
• Maintain Cashier's Cash Book.
• Receipt of Property Tax, Market Rent, Water tax and other miscellaneous receipts.
• Disbursement of salary to the staff and payment of contractor's bills etc.
• Reconciliation of Bank Account.
• Deposit the daily receipt through cheque and cash in concerned Bank Account.
• To make payment of all vouchers as passed and received on day to day basis.
• Sale of different types of forms.