· Handling cash transactions, maintaining financial records, and ensuring proper accounting of departmental receipts and payments. The role requires accuracy, confidentiality, and compliance with Sindh Treasury and Financial Rules.
· Receive and disburse cash in accordance with government procedures.
· Maintain cash books, registers, and daily transaction records.
· Prepare receipts, vouchers, and payment documentation.
Ensure safe custody of cash and timely deposit into the treasury/bank.
Monthly based
Karachi Division,Pakistan,Pakistan
Karachi Division,Pakistan,Pakistan