Maintain financial records for petty cash and cash-on-hand.
Review invoices and checking payment requests.
Daily accounting entry on the system and recording invoices.
Reconcile GL entries in terms of prepayments, amortizations, advances, and accrued expenses.
Prepare journal entries for the local & foreign petty cash and cash-on-hand transactions.
Follow up petty cash balances and issue settlements.
Reconciliation of payments and prepare analysis of petty cash.
Process for temporary & permanent cash in advance requests.
Daily audit for employees expenses claims.
Assist in month end/year end closing and produce monthly reports.
Monthly follow up on petty cash and loans settlements.
Review all company payment requests to ensure that they are allowable and authorized.
Review and receive from all company cash, cheques and transfers requests and process the payment voucher.
Review and reconcile all advances given to company or employees.
Analyze expense and compare with the budget report
Send periodic confirmation to employees to ensure that the companys payables balance matches with the employees financial custody.
Attention to details and can handle confidential information.
Excellent organizational skills
V. Good verbal and written communication skills.
V. Good command of English