About the Role
Update and record all journal entries (Invoices, Payments Vouchers, Journal Vouchers, Purchasing)according to the local accounting standards and Group policies and procedures.Prepare payments by verifying documentation, and requesting disbursements as per the GroupPolicies and Procedures.Reconcile periodically the bank accounts, suppliers, sub-ledgers accounts, accruals accounts, fixedassets schedule, etc.Examine the correctness and compliances of coupons and expenses paid.Handle the payments preparation processes and documentations.Manage, organize and update relevant data on Boecker® Systems.Maintain data integrity on all Boecker® systems, forms and reports.Prepare the daily bank deposit report.Process purchase invoices in an accurate and timely manner.Execute inventory physical count for Operations, Food Safety and Marketing stocks and prepareinventory discrepancy...