1. Banks accounts reconciliations which assigned to him on monthly basis.
2. Passing the reconciliations entries if needed after verifying with his supervisor.
3. Follow up the banks reconciliations with company branches on monthly basis.
4. Containers posting reconciliation on monthly basis to adjust any differences could occur.
5. Related parties account balance reconciliations to make sure that their books are tally with our books and have monthly balances confirmations.
6. Monthly Inter branch accounts reconciliations.
7. To work with the team for accounting periods closing (Monthly - Year end closing).
8. Checking proper documentation for containers clearing invoices.
Job Details
Date Posted: | 2015-03-29 |
Job Location: | Jeddah , Saudi Arabia |
Job Role: | Accounting/Banking/Finance |
Company Industry: | Employment Placement Agencies/Recruiting |
Monthly Salary: | US $3,000 |
Preferred Candidate
Career Level: | Entry Level |
Gender: | Female |
Nationality: | Saudi Arabia |
Degree: | Baccalauréat |
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