Posted:None|
Platform:
Work from Office
Full Time
- Assist in the daily reconciliation of cash receipts and deposits
- Maintain accurate records of cash inflows and outflows
- Verify and process refunds and bank deposits
- Support in preparing cash flow reports and balance sheets
- Ensure compliance with company policies and accounting regulations
- Identify discrepancies in cash handling and escalate issues appropriately
- Assist during audits and provide necessary documentation
- Coordinate with the front-end cashier and other departments as needed
Minimum 1-2 years of experience in a similar role
Graduate in Commerce or related field
- Basic knowledge of accounting principles and financial systems
- Proficiency in MS Excel and accounting software
- Strong attention to detail and numerical accuracy
- Ability to handle confidential information responsibly
- Good communication and organizational skills
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