To manage in an optimum and proactive manner the financial transactions attached with cash/ cheque collections, receivables and petty cash at a business location.
Duties and Responsibilities
1: Cash Management
Receiving, accounting and depositing of sales collection on timely manner as per guidelines laid down in the cash management policy.
Preparing daily sales and banking report and forwarding the same to HO with all relevant supporting documents viz. CRV, credit card slips, Z report (tallied with credit card slips), bank deposit slips and other document after tallying it on a day to day basis.
Sending daily sales and banking report in excel format to HO accountant before 11 AM. Receiving, checking, accounting of PDCs and keeping it in safe custody.
2: Receivable Management
Ensure that there are no unadjusted open credit credits/PDCs in c...
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