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Job Description

Process outgoing and incoming customer and vendor invoices as per internal and statutory requirements

Perform internal control checks on vendor bills such as cost checking in operational system.

Petty cash and bank transfer responsibility

Liaise with external auditors/accountants and provide all documents and reports required for the audit and statutory reporting on weekly/monthly/yearly basis and ensure compliance with all rules and regulations

Communication with different departments, customers, vendors as required

Reconciliation of Petty cash and Bank reports (all expenses, revenues and other transfers) in financial system D365

Reconciliation of operational (job related) expenses, in internal systems

Reconciliation of all Advances given to employees for operational purposes. 

Booking, reconciliation and clearing of all Prepaids, Deposits, Accruals and other pending accounts on monthly basis 

Submitting local internal weekly/monthly reports as per internal rules and procedures.

Preferred Candidate

Degree
Bachelor's degree / higher diploma
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