Job Responsibilities:
- Preparation of journal vouchers for recording of expenses
- Making payment and receipt vouchers
- Preparation of monthly closing vouchers
- Preparation of monthly bank reconciliation statements
- Providing support in opening and closing of bank accounts
- Recording of monthly interest income on PLS deposits
- Recording of monthly interest expense vouchers on loans
- Preparation of vendor payments after correct deduction of tax
- Preparation of cheques and online payments
- Maintain and report petty cash of branches
- Maintain serial wise record of all vouchers and supporting documents both in print and scan.
- Other tasks as assigned by the team lead.
Knowledge & Skills:
- Must be able to maintain the highest level of confidentiality
- Strong Organization skills
- Good Presentation Skills
- Strong Written and Verbal Communication Skill
Other Requirements:
- Bachelors/Masters in Finance
- Experience with preparing bank reconciliation
- Calculation and filing of taxation
- Well familiar with general accounting
- 1 year work experience in related field
Job Type: Full-time
Ability to commute/relocate:
- Karachi: Reliably commute or planning to relocate before starting work (Required)