Job Description
Review activity requests and prepare of bank vouchers for payments
Tracking of cash flow
Reconcile all bank account monthly against bank statement and submit to Manager for review
Petty cash reconciliation
Preparation of office running budget
Check matching expenses for compliance with regulations.
Month end reporting package
Other:
Carry out additional tasks, as requested Manager/ Director.
Requirements
B.Sc/HND in Accountancy/Finance or a related discipline from a reputable institution.
2 – 5 years work experience
Additional Qualification will be an added advantage.
Applicants should send their Applications and CV’s to: careers@mastermindshrsg.com
Apply via :
careers@mastermindshrsg.com