Posted by Zurich Holding Consult VERIFIED25 Sep 11:57 amSurulere, Lagos
Collect, account for, bank cash received and issue receipts.
Maintain accurate financial records of cash collected, carrying out regular balances of cash transactions and resolving any discrepancies.
Provide support in the development of all necessary financial controls and in carrying out reconciliations of balance sheet accounts to ensure the production of accurate and timely financial records and information.
Compile and sort documents, such as invoices and cheques, substantiating business transactions.
Verify and post details of business transactions, such as fund received and disbursed, and totalling accounts. etc
Minimum of OND/HND/BSC in any discipline
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