Description
Job Summary:
Responsible for cash control, cash settlement, supplier payments, and bank reconciliations, ensuring accurate financial management.
Key Highlights:
1. Comprehensive cash and petty cash management
2. Performing bank reconciliations and banking control
3. Recording and monitoring financial transactions in the system
**RESPONSIBILITIES:**
* Manage cash inflows and outflows through daily cash settlement.
* Be responsible for the fixed petty cash fund.
* Prepare monthly cash flow statements.
* Make cash payments to suppliers.
* Record and monitor cash transactions in the system.
* Archive and maintain documentary control of cash records.
* Cancel dispatch orders for drivers.
* Perform daily cash counts.
* Monitor pending expense reports submitted by administrative staff.
* Conduct daily banking control.
* Perform daily reconciliations with banking institutions.
* Review and monitor bank balances.
* Issue, reconcile, and report invoices for forklifts.
BENEFITS
\- General regime
Salary: S/.1,400\.00 \- S/.1,500\.00 per month
Workplace: On-site employment