SPECIFIC DUTIES AND RESPONSIBILITIES :
1. Prepares Accountability Reports such as Cash Position, Petty Cash Fund, Bank Reconciliation and other Treasury Reports.
2. Receive cash and check payments from customers and issues Collection Receipts (CR).
3. Coordinates with Credit & Collection all payments including postdated checks.
4. Deposits cash and check payments collected from suppliers.
5. Release check or cash payments.
6. Prepare Cash Disbursement Voucher (CDV).
7. Conducts daily cash count.
8. Prepared weekly summary of payment report.
9. Issue local seal to tanker tender.
10. Perform Treasury Assistant task as needed.
JOB QUALIFICATIONS :
SCHEDULE AND WORK ARRANGEMENT :
BENEFIT
Upon Regularization :
After ONE year as a Regular Employee :
Cashier • BRGY. BATIS, SAN JUAN CITY, National Capital Region, PH