General filing of finance documents and records. Assist in capturing cashbook and reallocation journals month-end. Scan financial documentation as needed. Assist the Cashbook Controller and Finance Managers as Archive documents and provide payment details/supporting documents upon request. Manage applications and petty cash float. Ensure vouchers have correct supporting documentation, calculations, authorizations,
General filing of finance documents and records. Assist in capturing cashbook and reallocation journals month-end. Scan financial documentation as needed. Assist the Cashbook Controller and Finance Managers as Archive documents and provide payment details/supporting documents upon request. Manage applications and petty cash float. Ensure vouchers have correct supporting documentation, calculations, authorizations,
reconciliation for authorization and payments Verify supporting documentation for payment requisitions Process report Assist supervisors/managers with ad hoc duties Prepare and file documents for archiving Assist with
reconciliation for authorization and payments Verify supporting documentation for payment requisitions Process report Assist supervisors/managers with ad hoc duties Prepare and file documents for archiving Assist with