Cairo, Cairo, Egypt
منذ 6 يوم
source : Laimoon

Accounts is responsible for providing financial administrative services in order to ensure effective efficient and accurate financial and administrative operations.

The must comply with established policies and procedures.Key accountabilitiesReceive and review all payments and received cheques PDCs Current dated chequesMeet due dates requirementsAssist on the bank reconciliation throughout the month.

Support Audit related activities for department.Clean audit reportHandling a monthly analysis for all customersImmediately after the month end.

Posting and issuing of monthly invoices and claimsAll transactions in AR should be posted.Handling balance confirmations and reconciliations for all customers on quarterly basis.

قدِّم طلب ترشيحك
بريدي الالكتروني
بالضغط على "واصل" ، أعطي موافقة نيوفو على معالجة بياناتي وإرسال تنبيهات إلي بالبريد الإلكتروني ، على النحو المفصل في سياسة خصوصية لـ نيوفو . يجوز لي سحب موافقتي أو إلغاء الاشتراك في أي وقت.
استمارة الطلب