Bank daily cash/cheque collection according to the company policy, prepare reports & keep the records for transactions (book keeping, maintain files etc.)
Handle daily receipts, payments and cash reconciliations
Preparation of bank transfer forms for the foreign remittances and perform bank reconciliations
Assist accountant on preparation of P&L, balance sheet, schedules and management reports
Requirements
Minimum O/L, with “B” or above pass for mathematics
Minimum one-year experience in the accounting/finance field
Experience in the similar role in the logistics industry would be an added advantage
Computer skills, good verbal & written communication skills in English & Dhivehi