Specialization: FINANCE GENERAL OR COST ACCOUNTING|
Our established client, a Multinational company looking for dynamic and result oriented candidate to fill their current job opening.
Objective of the role
- To ensure all bank statement related entries are processed timely and accurately.
- Implement & maintain clear and efficient cash and bank management processes.
- Make consistent and correct financial bookings of bank statements including payments and receipts.
- Perform monthly bank reconciliation and ensure the bank balances are reflected accurately on the balance sheet.
Who we need
- Treasury experience (Extra advantage)
- A Master Degree/ Bachelor's Degree with CGPA of 3.0 and above
- Part of a Global team.
- Working in a dynamic, fun and multinational company
- Ongoing training given to emphasize career development
You're welcome to apply online or email your profile to firstname.lastname@example.org
Only shortlisted candidate will be notified.
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