للتقدم للوظيفة : رابط الوظيفة من هنا.
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الوصف الوظيفي
Responsibilities:
- Monitor daily cash balances and prepare daily/weekly/monthly cash forecasts requirements.
- Manage bank accounts and ensure timely payments.
- Reconcile bank statements and investigate discrepancies
- Analyze financial data to identify trends and opportunities.
- Ensure compliance with relevant financial regulations and accounting standards.
- Maintain accurate financial records and documentation.
- Preparing & recording suppliers' payments, Collections, journal entries, and ledger entries for all bank transactions.
- Conduct monthly bank reconciliation to ensure accuracy and identify discrepancies.
- Manage petty cash recording, payments, and settlements.
- Maintain organized digital and physical archives of all treasury documents.
- Update any bank documents. (KYCs) & Monitor All Bank Charges & interest.
- Prepare cash position reports and communicate with the bank regarding financial matters
- Support for Cash flow preparation
Requirements
- Bachelor's degree in accounting, Finance, or a related field.
- Excellent command of English language (read, understand & written )
- Previous experience in a similar role is preferred & Experience in treasury or corporate finance is preferred.
- 2-4 years of experience.
- Proficient in using accounting software (preferably Oracle Vision) and Microsoft Office Suite, particularly Excel.
- Excellent attention to detail and accuracy.
- Strong analytical and problem-solving skills.
- Ability to work independently and meet deadlines.
- Effective communication and interpersonal skills
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