21/Mar/21 file all pettycash, invoice filing, rcv and
invoice entered, soa made for jalpa,
make number for file,made filing then john
22/Mar/21 gives me invoices and purchase after that checking with fayez the reciept voucher for bank reconciliation and give suji invoices for statement also reciept
find missed invoices and reciepts, enter all
23/Mar/21 invoices , reciepts and purchase, and give suji invoices and statement, and file all purchase, invoices, recipets, NI marchanet and day book.