To join an organization that can provide me with the challenges to fulfill my desire of exploring new avenues and broaden my horizon by complementing my educational experience with professional experience.
Receive checks and cash for deposit, verify amounts, and check accuracy of deposit slips. Order a supply of cash to meet daily needs. Receive checks and cash for deposit, verify amounts, and check accuracy of deposit slips. Online transfer remittance Pay order (cashier cheque) Utility bills transfer CMT cash handling and credit card payments. Monitoring and reconciling all the GL and Payable accounts on daily basis and verifying all the entries. Cash Management, Clearing and compliance with operational procedures and regulatory controls .