• Manage petty cash and oversee cash management practices to ensure accurate record-keeping
  • Prepare daily, weekly, and monthly Management Information System (MIS) reports and verify findings with the store manager
  • Prepare expense vouchers, obtain necessary approvals, and process petty cash payments efficiently
  • Conduct daily entries in ERP/Synergics for financial and inventory accounts to maintain accurate records
  • Handle banking tasks, including timely deposition of cheques to ensure cash flow
  • Update daily account entries in financial software and provide weekly reports to the head office
  • Check and respond to emails within stipulated timeframes to maintain clear communication
  • Follow head office guidelines diligently to ensure compliance and consistency in operations
  • Prepare sales bills in compliance with income tax regulations and enter them into the accounting software
  • Manage purchase processes effectively to support store operations and inventory needs
  • Organize and maintain filing systems for financial documents to ensure easy retrieval and compliance