Preserve and handle the cash and bank transaction at Regional Office.
Maintain the cash book Prepare daily cash and bank statement.
Prepare monthly money requisition for regional office.
Prepare vouchers and checking the bills of regional expenditure.
Ensure payment of approved bill.
Prepare monthly Receipt and Payment Statement and other statements.
Maintain stock, fixed assets and any other registers as required properly.
Process leave applications of regional staff Look after.
Store and Regional Training Centre (RTC) properly.
Assist regional management to supervise the service staff.
Assist to prepare and preserve of all correspondence and respective documents, files, reports confidentially.
Age At most 35 years Ability to maintain cash bookAbility to check all kinds of bills, vouchers and invoices.Ability to perform on tax, audit and VAT related issues.Self motivated and willingness to take challenges.Computer literacy in Microsoft Office, Internet.Experience in Tally Software.Drafting skills for communication and documentation.Ability to routine communication with partners.Knowledge on procurement of good & services.
https://bdjobs.com/h/details/1508808