Treasury Assistant
- Finance / Legal / Risk Management
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Accurate Creation of Official Receipt using SAP
Creation of Billing using SAP
Daily Preparation of Collection Reports
Weekly Validation of Collection Report
Daily Updating/Managing of OR file monitoring
Release of cash advance and Accepting cash liquidation
Timely recording of Petty Cash (Reimbursement & Liquidation)
Daily Cash Counts
Other task that may be assigned from time to time
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Rizal,