Job Scope
This role is responsible to undertake all treasury operations and banking report and reconciliation under the supervision of respective Finance Manager.
Main Responsibilities
- Daily/Monthly report main bank reconciliation with bank statement, excel record & system
- Daily report & prepare fund status report after proper checking
- Ensure the efficient management of company’s bank accounts
- Reconciling of bank statements and prepare banking report
- Physical ground checking of Cash (All Type)
- Checking all suppliers of payment in/ out
- Monitor super-agent control of agency banking
- Check and verify cash transactions, and ensure the company’s banking operations
- Perform other ad hoc duties as assigned by Finance Manager
Work Experience
- Minimum 2 years of experience in related field, treasury and accounting knowledgeable
- Good communication skills, analytical skills, problem solving skills and negotiation skills
- Advanced MS Office (Word, Excel, PowerPoint)
- Good Email Writing and English 4 Skills
- Must be willing to work shifts/flexible to work overtime as often as required
- Honesty, Hardworking and Teamwork
Education
- Any graduate, and retail background will be advantage
- LCCI Level III completion and Advanced Excel Proficiency
Interested applicants are invited to apply for job opportunities by sending their resumes to [email protected] and [email protected].