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dc.contributor.authorShekh, Sabbir
dc.date.accessioned2025-11-09T06:39:49Z
dc.date.available2025-11-09T06:39:49Z
dc.date.issued2023-01-08
dc.identifier.urihttp://suspace.su.edu.bd/handle/123456789/2372
dc.description.abstractThis executive summary provides an overview of my internship report on the "Accounts Maintaining Procedure of Mumu and Nahiyan Trading Ltd." During my internship, I focused on various essential accounting procedures, including cash book management, inventory control, cash flow statement preparation, ledger maintenance, and trial balance reconciliation. Additionally, I was involved in tasks such as bank reconciliation statement preparation and managing petty cash. Notably, a significant aspect of my responsibilities included initiating and managing Letters of Credit (LC) with a local bank for importing products, as our business primarily operates on imports. Throughout the internship, I gained hands-on experience and insights into the critical components of accounting within Mumu and Nahiyan Trading Ltd. These tasks provided me with a comprehensive understanding of the company's financial operations and procedures. By maintaining accurate records, overseeing financial statements, and orchestrating the import process through LCs, I contributed to the efficient and transparent financial management of the organization. Concededly, this executive summary highlights my engagement in a range of accounting tasks and responsibilities, showcasing my active involvement in maintaining various financial aspects of Mumu and Nahiyan Trading Ltd.en_US
dc.language.isoen_USen_US
dc.publisherSonargoan Universityen_US
dc.relation.ispartofseries;BBA-230566
dc.subjectAccounts Maintaining Procedure of Mumu and Nahiyan Trading Ltd.en_US
dc.titleAccounts Maintaining Procedure of Mumu and Nahiyan Trading Ltd.en_US
dc.typeThesisen_US


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