Work Site: Dhiraagu Head Office
Deadline: 29th October 2025
Number of Position(s): 01
Job Description
Selected candidate will be responsible for ensuring compliance with partnership banking processes, managing commission computations, supporting treasury and month-end activities through reconciliations and reporting, analyzing financial data, assisting with audits, and maintaining accurate accruals and cash reconciliations.
-
Oversee adherence to the partnership Banking Process and ensure accuracy of Commission computations
- Support Treasury deliverables as part of monthly closing process, including journal postings, banks reconciliations, cash reporting and review of applicable P&L and balance sheet accounts.
- Analyze and interpret financial data and prepare financial reports.
- Assist in internal and external audit and ensure any audit recommendations are implemented.
- Compiling Monthly accruals related to Partnerships
- Maintain monthly bank reconciliations and any other relevant Cash reconciliations to ensure accuracy and control.
Qualifications
Must have Skills:
- Good knowledge and experience of Financial Accounting / Cash Management / Systems / Control Environments
- Ability to work under pressure and meet strict deadlines
Good to have Skills:
- Analytical skills with ability to evaluate financial data
- High level of integrity, accuracy, dependability, enthusiasm and confidentiality.
Salary and Benefits
- MVR 10,800 - MVR 12,800
- Phone allowance: MVR 1,500 (Touch Scheme)
Apply Here