- 経験
- どれでも
- 給料
- —
- 求人情報
- 1
- 投稿済み
- 1週間前
- 作業モード
- 在任中
- 再開する
- 応募必須
勤務地
仕事内容
Position Overview
This role involves managing various accounting functions including the entry and reconciliation of store cash, sales, petty cash, fixed assets, event sales, and other relevant accounting records.
Key Duties
- Ensure all DSS and petty cash entries are made accurately and promptly, including sales reconciliation and verification within deadlines.
- Authenticate and verify incentives paid to store personnel.
- Handle entries and reconciliation for store credit card transactions.
- Review and audit other administrative expenses, predominantly store-related costs such as utilities (water, electricity, telephone), petty cash, and appropriately provision amounts for Management Information System (MIS) purposes.
- Record provisions monthly and ensure timely reversal of month-end entries.