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Job Description
- Checking and controlling daily bank statements' accuracy and completeness
- Do the daily reconciliation of retail finance (lending) products (Funds sufficiency calculation, disbursement payouts, repayment receipts, funders' money movement, etc)
- Do validation on funds received and sent
- Bachelor’s degrees and above from Economics/Accounting or a related technical field
- Proficiency in using Microsoft Excel
- Strong attention to detail with the ability to quickly adapt to new changes
- Ability to communicate effectively in English to facilitate discussions and collaborations across stakeholders
- Can do well under pressure, have no issue with repetitive work