للتقدم للوظيفة : رابط الوظيفة من هنا.
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- Prepare daily cash management reports and process electronic payments.
- Prepare journal entries related to cash transactions, debt instruments for month-end closings.
- Perform daily cash reconciliations, monthly accounts reconciliations, and assist with weekly cash forecast and variance analysis.
- Compiling of the daily Liquid Position report.
- Forecast cash flow positions, related borrowing needs, and available funds for investment.
- Ensure that sufficient funds are available to meet ongoing operational.
- Maintain a system of policies and procedures that impose an adequate level of control over treasury activities.
- Petty cash reviewing and posting journal entries.
- Responsible for Currency purchases.
أظهر المزيد