Controller Assistant (Onsite)

Details of the offer

Daily validation and checking of sales reporting of stores of HoCB US base stores.
Accurate and timely manner checking of cash sales deposit
Monthly preparation of P&L in a per store manner.
Monitoring of inventory and stock replenishment
Purchase invoice recording and expenses in the account package
Online sales reconciliation
Bank reconciliation
1 to 2 years in Bookkeeping and simple audit
Performs other duties as assigned


Nominal Salary: To be agreed

Source: Whatjobs_Ppc

Job Function:

Requirements

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