Quick contact info

Genedy Construction
Founded by Eng. Sayed Genedy by adopting a strategy of joining forces with highly qualified caliber expertise.
Our business has grown through these years and succeeded in delivering a wide variety of quality projects to meet client’s expectations.

icon_widget_image Sunday - Thursday from 8:30 Am to 5:30 pm icon_widget_image 1 Saada St., Block no. 61 Next to Carrefour Maadi icon_widget_image (+202) 23104037- +201205045454 icon_widget_image info@genedyeg.com

Petty Cash Section Head

Responsibilities:

Petty Cash Management

  • Oversee daily petty cash operations for the head office and all project sites.
  • Ensure adequate cash availability to support site operations while minimizing excess cash exposure.
  • Review and approve petty cash disbursements in line with delegated authority limits.

 

Controls & Compliance

  • Implement, monitor, and enforce petty cash policies, procedures, and approval matrices.
  • ⁠Ensure all disbursements are supported by valid documentation, approvals, and proper justification.
  • ⁠Ensure compliance with internal controls, audit requirements, and company financial policies.

 

Reporting & Reconciliation

  • Review and validate daily, weekly, and monthly petty cash reports and reconciliations.
  • Investigate, document root causes, and resolve cash shortages, overages, or discrepancies in a timely manner.
  • ⁠Prepare consolidated petty cash reports for management and finance leadership.

 

Coordination with Projects & Finance

  • Coordinate with project managers, site engineers, procurement, and finance teams regarding cash requirements.
  • Ensure petty cash transactions are accurately recorded and aligned with accounting entries and general ledger postings.
  • ⁠Support month-end and year-end closing activities related to petty cash accounts.

 

Team Leadership

  • Supervise, train, and evaluate petty cash staff and site cashiers.
  • Ensure staff awareness of policies, fraud risks, and compliance standards.
  • Identify control gaps and recommend process improvements to enhance efficiency and risk mitigation.

Qualifications:

• Education: Bachelor’s degree in Accounting or Finance.
• ⁠Experience: 10–12 years of experience in accounting, cash management, or treasury functions, including hands-on petty cash and site cash operations, preferably within construction or project-based companies.

• ⁠Strong knowledge of internal controls, cash handling procedures, and financial reporting.
• ⁠High attention to detail, integrity, and ability to manage multi-site operations.

Apply for this position

Drop files here or click to upload
Maximum allowed file size is 10 MB.