during practice, I notice from the company that these small flaws should I myself have the suggestions as follows: When conducting business transactions to check the financial situation of the client to minimize risk. accounting (Treasurer) daily to the inventory of actual funds exist and proceed against the figures of Fund cash book and ledger. If there is difference, accountant and Treasurer must check the determine the cause and recommended measures to handle.
đang được dịch, vui lòng đợi..
