للتقدم للوظيفة : رابط الوظيفة من هنا.
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الوصف:
Essential Responsibilities and Duties
- Prepare accounting transactions related to bank accounts in an accurate and timely manner and obtain necessary approvals
- Update and maintain the bank database on the Society’s system
- Reconcile the Society’s bank accounts with the Society’s records on a regular basis
- Investigate any discrepancies resulting from bank accounts reconciliation and communicate results to the Chief Accountant
- Inform the Chief Accountant of the progress of work as well as obtain their advice and guidance as needed
- Perform monthly bank reconciliation on all the Society’s bank accounts
- Perform data entry on the finance system as required
- Monitor the opening and the closing of bank accounts and investigate empty bank accounts
- Hold files with all bank reconciliations and update the archives
- Provide the Finance team with any required information as requested
- Implement internal accounting controls designed to safeguard the assets of the Society and ensure the validity and accuracy of the Society’s financial information
- Maintain the suppliers’ accounts on the related sub-ledgers
- Conduct 3 way-match between the supplier’s invoice, purchase order and stock receipt voucher before processing payments to suppliers
- Perform sufficient controls to ensure accuracy and completeness of the Society’s revenues
- Process payroll payment based on payroll data received from the Finance Department
- Reconcile the Society’s accounts with suppliers’ accounts on a regular basis; investigate any resulting discrepancies and communicate results to the Chief Accountant
- File supporting documents according to projects
- Follow-up on outstanding payments or any other tasks
- Provide the Finance Director and Chief Accountant with any required information as requested
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