Powered by Information Department Government of Sindh

About the job

 

Description

  • Prepare Cash and bank positions on daily basis.
  • Maintain strong banking relationships to ensure efficient treasury operations and resolve issues.
  • Record Bank profits & Bank charges into ERP of all bank accounts.
  • Prepare Bank reconciliations.
  • Prepare summary of direct deposits and ensure all direct deposit to be recorded in the same month.
  • Coordinate with disbursement team to ensure all payments entries are posted before closing.
  • Responsible for facilitating internal and external audit of bank reconciliations.
  • Coordinate and arrange bank confirmations during external audit.
  • Coordinate with banks for confirmation of any donations/grants/reversal requested received in account.
  • Record exchange gain/loss on foreign currency on a monthly basis.
  • Keep update and satisfy compliance for bank accounts include addition/removal of authorized signatories, Board members, and Directors.
  • Coordinate inward and outward foreign currency remittances with banks, maintain a foreign remittance tracker with all necessary settlement details.
  • Review treasury procedures and internal controls to ensure compliance with approved financial policies and delegated authorities.
  • Any task assign by line manager.

Required Skills

  • Good concepts of basic Accounting
  • Smart skills on Microsoft Excel
  • Excellent analytical and numerical skills
  • Intelligent time management
  • Strong Communication Skill
  • Hands on experience of ERP

Education

BBA / MBA (Finance) or ACCA Part qualified.

Experience

1-3 years of relevant experience. 

Salary

Competitive

Monthly based

Location

Karachi Division,Sindh,Pakistan

Job Overview
Job Posted:
2 days ago
Job Expire:
4 weeks from now
Job Type
Pvt Job
Job Role
Others
Education
Bachelor's Degree
Experience
3+ Years
Total Vacancies
1...
Age requirment
18 Year - 40 Year

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Location

Karachi Division,Sindh,Pakistan