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Job Description

  • Maintain financial records for petty cash and cash-on-hand
  • Review invoices and checking payment requests
  • Daily accounting entry on the system and recording invoices
  • Reconcile GL entries in terms of prepayments, amortizations, advances, and accrued expenses
  • Prepare journal entries for the local & foreign petty cash and cash-on-hand transactions
  • Follow up petty cash balances and issue settlements
  • Reconciliation of payments and prepare analysis of petty cash.
  • Process for temporary & permanent cash in advance requests.
  • Daily audit for employee's expenses claims.
  • Assist in month end/year end closing and produce monthly reports.
  • Monthly follow up on petty cash and loans settlements.
  • Review all company payment requests to ensure that they are allowable and authorized.
  • Review and receive from all company cash, cheques and transfers’ requests and process the payment voucher.
  • Review and reconcile all advances given to company or employees.
  • Analyze expense and compare with the budget report
  • Send periodic confirmation to employees to ensure that the company’s payables balance matches with the employees’ financial custody.

Preferred Candidate

Degree
Bachelor's degree / higher diploma
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