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Job Description
Structured overview of role & requirementsAbout This Role
Manage and verify daily cash remittances ensuring accuracy and presence of witness.
Conduct surprise cash counts and maintain detailed records of cash floats and petty cash disbursements.
Prepare daily financial reports and handle bank deposits related to cash collections.
Minimum Requirements
Diploma in Accounting or Finance.
Minimum 1 year of relevant experience in income auditing or similar role.
Proficiency in MS Excel, Word, PowerPoint, and accounting software.
Good English communication skills.
Ideal Candidate Profile
Detail-oriented with strong service focus and ability to maintain accurate financial records.
Effective communicator capable of collaborating within a team environment.
Self-motivated and professionally presented individual able to follow financial procedures and safety protocols.
