1. Cash Counting and Matching to Collections. Sending it to Front Desk-Cash /Credit/EFT/Petty Cash Reco,Refunds,wrong bill, shortages,Manual Cash,Credit notes
2. Payment Entries in Agile- Sundry Creditors, Reciept Entries in Agile- Sundry Debtors
3. Mailing vendor the payments transfers
4. Vendor Master update with Bank Details, Corporate Master in Agile