Ameera Ventures Limited
Daily post transactions into the enterprise solution (Odoo system).
Daily maintain records for company wide sales.
Daily confirm customer payment for the sales outlet
Daily retrieve bank balances and submit the same to management.
Daily review and follow up on inventory entry posting.
Weekly analyze expenses for review by the accountant.
Weekly Collate Petty Cash report from the sales outlets for review by the accountant.
Monthly perform bank reconciliation statements for all card accounts.
Monthly review inventory reports from the wholesales outlets.
Assist in the preparation of financial statements and management reports.
Perform other adhoc duties as may be assigned by management.