Responsible for -
1) To ensure that all the Retail / Trade clients are promptly and accurately invoiced and Revenue collections are banked on a daily basis.
2) To ensures that the purchase Cash Floats / petty cash floats are managed accurately along with complete documentation.
3) To ensure DOA & policies while accounting for cash transactions, liaising with AFSS/APSSC for claims reimbursements, accounting etc & should have good understanding of tax rules.
1) To ensure that all the Retail / Trade clients are promptly and accurately invoiced and Revenue collections are banked on a daily basis.
2) To ensures that the purchase Cash Floats / petty cash floats are managed accurately along with complete documentation.
3) To ensure DOA & policies while accounting for cash transactions, liaising with AFSS/APSSC for claims reimbursements, accounting etc & should have good understanding of tax rules.