Handle and process Inward / Outward remittances (MT103, MT202), Fixed deposits, issuance of cashier order and demand draft (USD).
Daily Cheque clearings
Daily cashier duty which involve opening and closing of the cash balancing
Handle opening and closing of the current account
Letter of credit advising to customers and non-customers
Back up to the Accounts Department
Reimbursements Department
Working hours: 9am to 5.30pm
For those who are interested, please send forth a detailed resume to kelvin@verst.com.sg
We regret to mention only shortlisted candidates will be notified.
ONLY SINGAPOREANS or SINGAPORE PR ARE ELIGIBLE TO APPLY.