Executive - Cash Operations (Finance)

Accounting / Auditing / Finance

About the Employer

Job Description

EXECUTIVE - CASH OPERATIONS FINANCE

Key Responsibilities

  • Manage daily cash operations, cash float requirements, and reimbursements.
  • Handle IOU reconciliation, unsettled IOU follow-ups, and related GL reconciliations.
  • Coordinate overseas agent payments and maintain payment status records.
  • Arrange payments to government authorities and share receipts with relevant operational teams.
  • Support bank reconciliations, cash-in-hand reconciliation, and balance sheet review activities.
  • Ensure proper documentation, filing, and compliance with internal controls and QMS/ISO requirements.
  • Assist with management reports and other finance-related tasks as required.

Other Requirements

  • Prior experience in finance, accounts, cash handling, payments, or reconciliation work.
  • Good knowledge of accounting entries, GL reconciliation, and basic finance controls.
  • Strong attention to detail and accuracy.
  • Ability to coordinate with internal teams, overseas agents, banks, and external parties.
  • Good communication and follow-up skills.
  • Ability to work under pressure and meet deadlines.
  • Experience in logistics or freight forwarding will be an added advantage.

Send your resume and application to [email protected]

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APS Logistics International (Pvt) Ltd

108, W A D Ramanayake Mawatha, Colombo 02

+94 112 128 400