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To manage daily cash transactions, maintain accurate financial records, support invoicing and bank operations, and ensure compliance with internal financial procedures, contributing to the accuracy and integrity of company financial data.
Receivables & invoicing, bank payments & deposits, cash accounting & bookkeeping, financial data support, internal control & audit assistance.
Accuracy of cash transactions; Timeliness of payments and deposits; Compliance with internal financial policies; Reconciliation accuracy; Audit support effectiveness.
Knowledge of cash management, financial recording principles, online banking, basic accounting/ERP systems, and Excel proficiency.
Job Type: Full-time
Education:
Language:
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