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We are seeking a detail-oriented and trustworthy Female Accounts and Cash Handling Staff to join one of our clients' money exchange office. This role involves daily management of foreign currency stock, handling deposits, and maintaining accurate financial records. The ideal candidate will be honest, disciplined, and have prior accounting experience with strong work ethics.
Job Responsibility:
Update and maintain accurate records of daily foreign currency stock levels
Deposit cash into the bank on a daily basis and reconcile balances
Maintain up-to-date accounts and prepare necessary financial entries
Assist in monitoring cash flow, preparing reports, and supporting management with account summaries
Ensure compliance with company policies and maintain confidentiality of all financial information
Liaise with banks, auditors, and internal staff as required
Requirements:
Proven experience in accounting or financial record-keeping
Strong attention to detail and numerical accuracy
Excellent organizational and time management skills
Honesty, integrity, and good work ethics are essential
Proficiency in MS Office (Excel/Word) and accounting software is an advantage
Ability to handle responsibility with minimal supervision