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Job Description & Requirements
1. Cash Management
Handle daily cash receipts and payments, ensuring accuracy.
Record all transactions in the cash journal.
Safekeep petty cash, checks, and receipts.
2. Bank Transactions
Manage deposits, withdrawals, transfers, and remittances.
Maintain the bank journal and reconcile with bank statements.
Issue and manage company checks securely.
3. Vouchers & Invoices
Verify, organize, and file payment/receipt vouchers.
Provide supporting documents to accountants for posting.
Manage invoices (issuance, storage, cancellation).
4. Financial Records & Reconciliation
Regularly reconcile cash and bank balances with accounting records.
Prepare simple cash flow or income/expenditure reports.
Assist in internal and external audits.
5. Other Duties
Handle staff reimbursement payments.
Safekeep important financial seals (e.g., company chop, bank tokens).
Comply strictly with financial policies to prevent risks or fraud.
Requirements: -
Candidate must possess at least GCE O / A Level / Diploma in Accounting, Business Administration, or related discipline
Min 2 years experience in accounts & admin field
PC literate in MS Office
Positive working attitude, proactive, team player, committed, meticulous, and responsible.
Meticulous, accurate, trustworthy and able to work independently.
Job ID: 138849691