Job Description
-Responsible for all the payments of the company based on proper supporting documents before issuing cheques
-Process all payments and receipts in the system on daily basis, update related accounts and make sure all related controls are adhered to
-Ensure proper keeping of Company's accounting records and supporting documents for Treasury activities
-Responsible for maintaining cash and reconcile on daily basis
-Communicate effectively with the team
-Being in continuous contact with bank account, monitor, control and issue list of any discrepancies
-Account keeping
-Reporting to the head of accounting
-Prepare tax returns and ensuring with payments required
-Prepare weekly and monthly Bank reconciliation report based on accounting software (Rahkaran)
-Follow up payment transfers to third parties and provide related department with payment slips
-Prepare monthly cheque report
-Knowing the procedure of opening LC, GPG and opening new bank accounts
-Responsible for all banking issues
-Keeping all financial records related to treasury