Job Details
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Job Description
- POS:
- Day to day reconcile all sales transaction (O/C) Account, cash, CC and on Account
- Support all stores on daily basis
- Reconcile POS transaction on daily basis for all stores.
- Responsible for reconciling Stores Safe Box for Cash Sales on system.
- Manage and review cashiers, branch coordinators and agents.
- Handling the cash receipt process by updating records with cash deposits to bank.
- Analyze and corresponds all differences from stores sales.
- Responsible for stores cash count monthly or in demand.
- Follow up and receive to file all documents and receipts from stores.
- Petty Cash:
- Follow up & Settling all petty Cash (stores, HO and other petty cash).
- Prepares journal entries of settled petty cash on system.
Job Requirements
- Good in English language
- Ability to meet deadlines
- Flexibility
- Communications Skills
- Adaptability
- Good interpersonal skills
- Ability to multitask efficiently.
- Organizational skills
- Good MS knowledge (Word, Excel)
- Problem Solving Skills
- Males only