1.Validate received cash and coupons with the total sum of ACW reports.
2.Reconcile loading vouchers with ACW sales report.
3.Charge differences of invoices against collected cash to the driver.
4.Reconcile on a daily basis the Safe cash balance with the ACW reports.
5.Deposit cash in the bank..
6.Perform any other duties assigned by the HOD Accounting. Manager
Job Details
Date Posted: | 2016-06-28 |
Job Location: | Alexandria, Egypt |
Job Role: | Accounting/Banking/Finance |
Company Industry: | FMCG |
Preferred Candidate
Career Level: | Entry Level |
Nationality: | Egypt |
Degree: | Bachelor's degree |
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