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About the company:

We are a global energy maritime logistics leader with a world-class asset base. We are the dedicated and vital logistics arm for ADNOC Group, providing mission critical and highly specialized services across ADNOC’s entire value chain. We also provide market-leading, cost-competitive maritime and logistics solutions to over 100 global customers and ship to more than 50 countries across the world. As a global energy maritime logistics leader and the dedicated and vital logistics arm for ADNOC Group, we are driven to set the highest standards in shipping and maritime operations, pushing boundaries and pioneering new frontiers in sustainability. We are committed to delivering world-class solutions that are innovative and efficient, while always putting safety first.

About the job:

Process overall activities of cash management and payroll functions by managing cash estimation process, ensuring obtainment of proper fund requirements, controlling financial transactions and timely reconciliation, and processing of various payments to employees.

Job specific accountabilities

  • Maintain preparation of detailed short and long term forecasts of cash estimates/requirements and ensure adequate funds are available from the assigned sources in order to meet payment obligations and that no overdraft requirement is encountered.
  • Ensure that unutilized funds of shareholder are returned and shareholders income is distributed on a periodic basis.
  • Monitor and control the petty cash holdings in order to ensure that cash is properly utilized and reconciled.
  • Ensure that cash and bank ledgers are accurately and properly maintained; discuss irregularities/discrepancies with banks in order to ensure appropriate rectification/reconciliation.
  • Monitor and control interest-bearing accounts in order to ensure accurate calculation of banks interests; control the appropriation of funds and disposition among the bank accounts.
  • Manage, control, and endorse all payments related to the employees made to their respective bank accounts, in cash, or through cheques. Control repayment and reconciliation of advance payments made to employees.
  • Ensure and supervise creation of provisions to cover end of service gratuity for expatriate employees and pension contribution to UAE national employees. Verify and process payment of end of service benefits to departing employees in compliance with valid policies and procedures.

Minimum requirements:

Bachelor degree in Accounting/Finance with appropriate membership of certified professional body (ACCA, CPA, ACA or equivalent). Four years’ relevant work experience in treasury/cash management or banking field is preferred.

About the Company

We are one of the world's leading energy producers, and a primary catalyst for Abu Dhabi’s growth and diversification.

We operate across the entire hydrocarbon value chain, through a network of fully-integrated businesses, with interests that range from exploration, production, storage, refining and distribution, to the development of a wide-range of petrochemical products.

Since 1971, we have created thousands of jobs, driven the growth of a diverse knowledge-based economy, and played a key role in Abu Dhabi’s global emergence.

Today, we continue to look for new and innovative ways to maximize the value of our resources, pioneering those approaches and technologies that will ensure we are able to meet the demands of an ever-changing energy market, and continue to have a positive impact on the Abu Dhabi economy for generations to come.

أظهر المزيد

معلومات

دبي, دبي
1 ساعة مضى على النشر
3

المؤهلات

المؤهل العلمي
بكالوريوس
التخصص
محاسبة
درجة الخبرة
من 1-3 سنوات
نمط التواصل
ميداني

الموقع على الخريطة

تعليق (0)

65167

خدمات/وظائف شبيهة

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