Good A/L results coupled with a part, qualifications in AAT/ CIMA/ICA/ACCA/CMA
DUTIES AND RESPONSIBILITES
Carrying out monthly reconciliations with the coordination of banks; cashbook & credit card reconciliation.
Coordinating with the business school for students'finance-related issues. Preparing & issuing receipts for cheques, cash & credit cards. Banking of cheques and cash on a daily basis and balancing the cash payments every evening.
Encashing the petty cash cheques required for daily operations.
QUALIFICATIONS AND REQUIREMENTS
Good A/L results coupled with part
qualifications in AAT/ CIMA/ICA/ACCA/CMA
Strong analytical skills.
02 years of working experience
Ability to communicate effectively in English.
Experience in ERP systems will be an added advantage.