The Proof and Control Staff is primarily responsible for performing account analysis and reconciliation, with a focus on cash-related transactions. The role supports accurate financial reporting through the preparation of monthly bank reconciliation reports, weekly reviews of cash transactions, and the resolution of outstanding reconciling items. Additionally, the position ensures the timely submission of all required reports and documentation to external auditors related to the companys cash accounts.
DUTIES AND RESPONSIBILITIES :
- Prepare monthly bank reconciliation reports to ensure accuracy and completeness of cash records.
- Analyze and clear outstanding reconciling items in a timely manner.
- Prepare a monthly aging report of outstanding reconciling items.
- Maintain organized and accurate records of all reconciliation activities.
- Coordinate with relevant departments to resolve reconciliation issues and obtain necessary documentation.
- Prepare and submit required reports, schedules, and documentation for external audits related to cash accounts.
- Furnish monthly schedule of unreleased checks for major bank accounts.
- Perform other related duties as may be assigned.
TECHNICAL COMPETENCIES AND SKILLS :
Demonstrates strong attention to detail in all tasksAble to identify and analyze errors and discrepanciesCapable of working under pressure and meeting deadlinesProficient in basic computer applications, including Microsoft Office, accounting software, and databasesAt least 12 years of experience in accounting. Experience in account analysis is an advantage.EDUCATION, TRAINING, LICENSE REQUIRED :
Bachelor's degree in accountancyA CPA License is not required but an advantage