Job Descriptions
- Prepare cash and bank reports.
- Categorize expenses by department.
- Monitor and compare cash expenditures with budget allocations.
- Develop Statements of Account (SOA) for cash planning purposes.
- Generate cash payment slips and maintain records.
- Manage banking processes and perform withdrawal transactions.
- Verify the validity and non-duplication of expense claims.
- Submit physical documents to downtown area.
- Facilitate cash collection from external and internal sources.
- Monitor petty cash reports for branch locations (RG-YTG & MDY).
- Perform daily cash counts.
- Conduct cash and bank reconciliation duties.
- Scan and prepare documentation files.
- Verify non-current assets lists.
- Assist with inventory ground checks.
- Prepare explanatory notes for cash and bank transactions.
- Provide support during unexpected situations related to accounting functions.
Requirements
- Graduation in any field (LCCI Level III certification preferred).
- Proficiency in accounting operations, including checking, preparing, and using accounting software.
- Ability to collaborate effectively and efficiently within a team.
- Commitment to ethical behavior and integrity in financial practices.
- Over 3 years of experience in accounting roles.
- Proficient in English communication.
- Strong computer skills.
- Reliable, trustworthy, and flexible.
- Excellent interpersonal and problem-solving skills.
Other information
- Salary: MMK 500,000
- Benefits: Annual Bonus, Annual Increment, Lunch & Ferry Provided
- Working Days: Monday to Friday (7:30 AM to 4:30 PM)
- Off Days: Saturday, Sunday & Public Holidays
- Working Location: Hlaing Tharyar Township; Yangon
If you are interested in this job, please email your resume to apply@achievecareermyanmar.com or call 09970178877 for other information.