- Tracking bank transactions.
- Responsible for all bank transfers.
- Preparation of monthly closing reports of bank accounts.
- Handle the process of facility renewal with all banks.
- File all the documents properly.
- Follow up with banks & resolve all pending issues & problems.
- Prepare monthly bank reconciliation for all company accounts.
- Perform monthly and annual bank reconciliations.
- Prepare and perform bank reconciliation on a periodic basis.
- Preparing the cash status reports.
- Preparing daily, monthly, quarterly, semi-annual, and annual financial statements of the bank.
Fresh Graduates Bachelor's degree in accounting or finance is a must.English: Very Good Excellent Communication Skills.Ability to work comfortably in a fast-paced environment.Fast learning.