Qureos

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Job Purpose

Support daily financial operations by ensuring accurate reconciliation of cash and non cash transactions across restaurants. Maintain compliance through audits, petty cash reviews, and timely preparation of tax and financial records.


Key Responsibilities

  • Collect and track daily bank deposit slips from restaurants, ensuring completeness and accuracy.
  • Reconcile daily cash sales with bank deposits, identifying and resolving discrepancies in a timely manner.
  • Reconcile non cash transactions including aggregators, ensuring alignment between reported and collected amounts.
  • Conduct restaurant spot checks in line with company policies to ensure adherence to financial controls and procedures.
  • Review and monitor petty cash across stores and departments, ensuring accurate recording in the system.
  • Prepare and support submission of municipality and tourism tax filings across all regions.
  • Provide support to the finance team on ad hoc tasks and cross functional initiatives as required.


Education & Experience:

  • Bachelor of commerce, or a business related degree
  • 1-3 years of accounting experience

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