To manage the petty cash inflow and outflow of Rainoil’s stations and depots as well as maintaining accurate records / books on transactions.
Duties and Responsibilities
Facilitates the availability of funds to meet day-to-day operational petty cash expenses and emergencies.
Maintains records to allow easy disbursement, reconciliation and replenishment
Processes expense retirement ledgers to ensure proper accountability of all cash advances
Creates and maintains records of cash requestsand disbursements
Reconciles all received cash, which have been recorded in the petty cash book, with expenses
Processes payment for accounts and issuing receipts
Keeps records of amounts received and paid, and regularly checking the cash balance against this record
Collects money from bank for safe keeping before reimbursements
Files all documents concerning cash payment and collection
Minimum of one (1) year work experience in a similar role
Minimum of an OND in accounting or any finance related discipline
Deadline : 19 April, 2019
Application Method : Applicant should apply using the Apply Link below.
adsbygoogle window.adsbygoogle ).push( );
Rainoil Limited is an integrated downstream oil and gas company. A prominent player in the Nigerian industry, the company’s operations span across the downstream value chain i.
e. Petroleum Product Storage, Haulage / Distribution and Retail Sales. Our primary products include Petrol (PMS), Diesel (AGO) and Kerosene (DPK).
cashier finance kaduna ssce