Qualifications:- Bachelor's Degree holder in Finance or any business related courses
Preferably with a year of relevant experience in processing withdrawal, deposit, and bank reconciliationOpen for fresh graduate
Proficient in using MS Excel (Pivot, SUMIF, VLOOKUP)
- Must be willing to work during holidays and on shifting schedule
Assist with daily bank reconciliation
- Prepare customer invoices
Generate daily foreign currency exchange rate report- Handle prepaid card top up submission
Handle manual crediting of funds for missing transactions
- Assist with the monthly preparation of customer transactions report
Assist with the monthly preparation of Financial Statements for Audit and Compliance- Generate relevant reports or as requested by stakeholders
Ad hoc tasks
- Assist in Merchants & Member's Deposit and Withdrawal Requests
Job Types: Full-time, Permanent
Benefits:
Schedule:
Shift system
Supplemental Pay: Overtime pay