The ideal candidate will be responsible for managing the petty cash inflow and outflow, receiving and verifying payments as well as maintaining accurate records/books on transactions, lodgements, and petty cash expenses.
The ideal candidate will be responsible for managing the petty cash inflow and outflow of Rainoil’s stations and depots as well as maintaining accurate records/books on transactions.
Roles & Responsibilities
Facilitate the availability of funds to meet day-to-day operational petty cash expenses and emergencies.
Maintain records to allow easy disbursement, reconciliation, and replenishment.
Process expense retirement ledgers to ensure proper accountability of all cash advances.
Create and maintain records of cash requests and disbursements.
Reconcile all received cash with expenses, which have been recorded in the petty cash book.
Process payment for accounts and issue receipts.
Keep records of amounts received and paid, and regularly checks the cash balance against this record.
Collects money from the bank for safekeeping before reimbursements
File all documents concerning cash payment and collection
Respond to queries regarding approvals, payment limits, retirement deadlines, etc.
Retire the various imprest accounts.
Prepare daily and weekly Sales Collections and Expense Reports for review by the Plant Supervisor and Accounts Officer (Treasury).
Requirements
Candidates should possess an HND, BA, B.Ed, B.Eng or B.Sc qualification with 1 – 3 years work experience.
Application Deadline
20th September, 2023.
Method of Application
Interested and qualified candidates should send their CV to: recruitment@rainoil.com.ng using “LPG Plant Cashier_Uyo” as the subject of the mail.