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RePhil Station Inc

Treasury Assistant

Early Applicant
  • 29 days ago
  • Be among the first 50 applicants

Job Description

Disbursements Process and Monitoring:

o Receiving and Checking of AP Voucher transmitted by Accounting-AP.

o Monitoring and processing of employee disbursements

o Processing of Vendor Payments in Netsuite (Employee and Stations)

o Recording of processed payables in Google sheet

o Transmit Check Voucher to Accounting-AP with complete attachment

o Sending and monitoring of Approved Cash Pull out to Station

Processing of Petty Cash Fund and Revolving Funds

o Ensure to have signed Accountability form for all PCF and Revolving Funds Custodians

o Prepares weekly monitoring of PCF and RF Utilizations

o Petty Cash Fund Custodian at Head Office

Bank Deposit Reconciliation and 3rd Party Settlement

o Cash reconciliation Approx vs CIB reporting of variances

o Ensure that Gcash/Paymaya remittance are accurate and complete

o Communicate and initiate reconciliation to GCash/Paymaya

o Maintenance of Gcash/Paymaya Portal

o Registration of Gcash/Paymaya for new Stations

o Confirm with Station and Audit the amount deposited by each station

o Preparation of Bank Deposit Report on a weekly basis
Clear the undeposited Funds/Collection from Merchants (Netsuites)

Job Type: Full-time

More Info

Industry:Other

Function:finance

Job Type:Permanent Job

Skills Required

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Date Posted: 26/10/2024

Job ID: 98178111

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