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We are currently seeking a skilled Treasury Accountant to join our team in Jeddah, Saudi Arabia. As a Treasury Accountant, you will be responsible for managing the company's cash flow and ensuring that all financial transactions are accurate and recorded properly. You will also play a key role in forecasting and analyzing the company's financial position.
Responsibilities:
- To coordinate with the banks & filling up forms of the banks for installation of POS(SPAN) machines and maintaining data of all POS terminals
- Prepare bank reconciliations for all bank accounts
- · Follow up with banks for amounts wrongly debited in the bank statements or for amounts not credited by the banks
- Follow up with Accounts Department for amounts not posted in UMA books as shown in the bank reconciliations
- Posting daily transactions –journal entries.
- Confirmation of Customers deposit in company bank accounts
- Any Other job required by Treasury Management.
Qualifications:
- Bachelor’s degree in Accounting, Fresh graduate or max one year experience.
Preferred Candidate:
- Fresh Graduate or maximum 1 year of experience.
- Strong knowledge of accounting principles and financial analysis.
- Excellent analytical and problem-solving skills.
- Ability to work independently and meet deadlines.
- Strong attention to detail and accuracy.
Skills
- Financial reconciliation
- Should be bilingual ( Able to speak and write English
- Should have good knowledge in MS Excel & Word.
- Financial analysis
- Treasury management
- Cash flow forecasting
- Financial reporting
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