About the Role
Position Objective: Responsible for Store Cash Entries, Sales Reconciliation Entries, Petty Cash Verification And Entries, Fixed Assets Entries, Event Sales and all Accounting Entries
Ensuring timely and accurate entries of DSS and Petty cash, completing all entries, sales reconciliation checking, verification on time
Responsible for Store Credit Card entries & reconciliation
Checking and review of Other Admin expenses which consist mainly store related expenses like Water and electricity/Telephone/Petty cash and given proper provision amount for MIS Purpose Provision booking for every month and reversal of month end entry on time.
Key Responsibilities
- Strong communication skills.
- Relevant technical proficiency.
- Problem-solving mindset.
How to Apply
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