codes, cost centers, and segments Processing of cash book entries and fixed asset register maintenance and processing of standing journals and goods in transit reconciliation Completion of VAT, tax, and royalty Revaluation of accounts payable, receivable, and cash book sub-ledgers Application of financial accounting
transactions – Proof of delivery – Archives – Petty cash – Serve as communication channel between Branch Head/Area office – Receiving, checking and balancing of cash received at the branch – Overseeing the use of office
include: Serve as a key contact person for bank and cash Ensuring effective control of 30 cashbooks and monthly transactions Ensure effective control of 22 petty cash cards and credit cards Education and skills: BCompt
include: Serve as a key contact person for bank and cash Ensuring effective control of 30 cashbooks and monthly transactions Ensure effective control of 22 petty cash cards and credit cards Education and skills: BCompt
modeling and data analysis Operational experience Cash flow management Analyse financial performance, identify
modeling and data analysis Operational experience Cash flow management Analyse financial performance, identify
required to come in earlier to ensure a smooth transition period) Please use the position title in the
targets. Cultivate relationships with referrals and transition them into valued clients. Stay updated with the
targets. Cultivate relationships with referrals and transition them into valued clients. Stay updated with the
month, CTC Permanent Our client is currently transitioning to a PowerBI reporting ecosystem and is seeking