- Perform daily sales reconciliation investigate variances and perform follow ups on discrepancies
- Ensure timely and accurate recording of all cash transactions and completion of bank reconciliations
- Prepare and issue of billing invoices and monitor collections to ensure timely payments from customers/partners
- Process manual store refunds with banks as requested by Exchange and Return department
- Ensure store invoices and petty cash claims are processed accurately and timely with proper application of applicable withholding taxes.
- Support fixed assets management activities including budget tracking and periodic physical inspection
- Ensure all month-end journal entries (e.g. accruals amortization inventory adjustments) related to store operation are recorded timely
- Provide support for accounting and financial related activities including internal and external audits as required
- Maintain and safeguard accounting records manage tax documentation and submit sales reports to tax authorities
- Support the store operations in monitoring and complying with store operating process as well as legal and statutory requirements
Qualifications :
- You have an understanding of store finance operations including receivables payables billing and cash handling.
- You are knowledgeable in financial transaction processes reconciliations and basic financial reporting.
- You have a basic understanding of internal controls compliance requirements and financial documentation standards.
- You are familiar with finance systems and tools including ERP systems and Microsoft Office applications.
- You understand store operations and how finance functions support overall business activities.
- You are aware of local regulatory requirements and corporate documentation standards.
Additional Information :
Please apply by September 25 2026
Remote Work :
No
Employment Type :
Full-time
Experience: years
Vacancy: 1