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Cashier

Posting date : 02/07/2024

Requisition ID : 31232


  • Handle the assigned petty cash float
  • Verification of petty cash claims against documents provided.
  • Reimbursement of correct petty cash claims
  • Cash advances – updating the excel tracker & monitoring/follow up for bills/supporting documents.
  • Reconciliation of physical cash balance with excel tracker – weekly
  • Preparing Bank Transfer vouchers in the ERP for - Supplier Payments, Advance payment, Petty Cash
  • Preparing checks for payments
  • Company credit card reconciliation and posting
  • Arranging deposit of checks received and cash into the company bank account.
  • Posting entries in the ERP on timely basis.
  • Any other ad hoc activities in line with business operations
  • Administrative and clerical skills will be required.
Job Requisition ID on SAP SF
31232
Language on SAP SF
en_US
Job Contract
Job Posting Date
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