Job Responsibilities
- Responsible for administering daily finance transactions accurately
- Manage account payables and receivable activities in a timely manner
- Perform bank reconciliation and account reconciliation activities on a periodic basis
- Update general ledger on regular basis and ensure its accuracy and completeness
- Assist in goals setting and performance improvements of staffs
- Assist the Manager in performing necessary cashflow report and analysis
- Address financial issues and inquiries from internal and external customers
- Develop best practices to enhance operational performance and productivity
- Check all journal entries daily by system and document carefully
- Record end of month adjustments
- Reconciliation AP and AR third party
- AP and AR aging report
- Ensure Bank book reconciled weekly
- Ensure all ledgers be accountable.
- Posting Financial Report draft
- Have a minimum of bachelors degree in Accounting
- Have a minimum of 2 years experiences as a leader for accounting
- Extensive knowledge in payment fields and financial product
- Familiar with Accounting systems and excellent Ms. Office especially in Excel
- Conversational English level skill
- Strong analytical and problem-solving skills
- Ability to prioritize tasks and to delegate them when appropriate
- Ability to function well in a high-paced and at times stressful environment
Integrity, honest, supervising attention to the team, Careful and deadline oriented.
RGF HR Agent
