Description:
Duties & Responsibilities
- Daily Cash Reporting to Head Office.
- Daily inventory reconciliation with Warehouse manager.
- Monthly Budgets for city operations and monthly reporting i.e. Petty Cash Positions at Warehouse, Regional Offices, Purchase Centers, Monthly Sales and Purchase data, Excise & Taxation payable, Receivables, Vendor payable, withholding tax payable, and Fixed Assets.
- Pay order collection and timely delivery, and manage bounced/cancelled POs.
- All sort of Regional payments processing, especially Vendor payments, and Admin expenses.
- Manage operational funds of Warehouse, Regional, and INSTA.
- Coordinate with sales team for recoveries.
What are we looking for
- 3 to 4 years of experience working in Finance in an SME working on similar tasks.
- Bachelors degree from a reputable institution.
- Should have strong analytical skills.
- Detail oriented individual and who can work independently.
- Outstanding interpersonal and communication skills, Knowledge of Public Relations etiquette.
- Should have the lead tracking mechanism skills and MS office skills.
- Ability to build rapport and collaborate with others within the company and externally.
What do we offer
- A unique experience in an entrepreneurial, yet structured environment
- The opportunity to become part of a highly professional and dynamic team working on the best practices from around the world
- An unparalleled personal and professional growth as our longer-term objective is to train the next generation of leaders for our future internet ventures
- Local and international exposure with our partner ventures and global offices
- Benefits: PF, Group Medical, EOBI etc.