The posting
Work location is at Tai Seng
This is an operational role focused on day-to-day cash handling, reconciliation, and basic Excel reporting. You will cross-check financial transactions (Maker/Checker process) and track fund flows across shift operations.
Responsibilities
- Cash Operations & Onboarding: Complete 2 weeks of hands-on cashiering training to understand physical and digital money flows.
- Reconciliation & Reporting: Perform daily cash reconciliation and generate operational reports using Microsoft Excel (applying pre-set formulas and data entry).
- Verification (Maker/Checker): Cross-check transaction reports prepared by peers to ensure numerical accuracy and compliance.
- Fund Tracking: Monitor and verify where funds originate and transition throughout the daily operational cycle.
Requirements
- Education: Minimum ITE Certificate (Singapore/PR) or SPM (Malaysian).
- Technical & Numeracy Skills: Computer literate with basic Microsoft Excel capabilities (copy/pasting formulas, basic reporting). Strong numerical affinity (Minimum Grade C in Mathematics). Basic English proficiency for system navigation and workplace communication.
- Work Schedule: 5-day work week on a 12-hour day shift (8:00 AM – 8:00 PM), including weekends and Public Holidays (100% Onsite). Additional: Monthly shift allowances, overtime (OT) pay, and variable allowances. Please send an updated resume to [email protected] if you are keen to apply for this position Alfred Lai EA Reg No: R1545971 EA License No: 21C0434



