Supervising the accounting function for accounts payables, accounts receivables, fixed assets, inventory costing, nominal ledger journals, clearing accounts and bank reconciliation.
Ensuring the recording of transaction are authentic and are in line with company policy and procedures.
Ensuring that the accounting standards are in line with SOCPA standards.
Carrying out the month end reconciliation of all clearing accounts.
Carrying out monthly standards JV's for accrued expenses, prepaid expenses and deferred income and expense transactions for the region.
Ensuring payroll process are run and records authentic.
Supervision of cashiers and daily reconciliation of cash.
Supervision of petty cash in line with company policy.
Ensuring authority matrix are satisfied for all procurements, settlements and fixed assets purchases.
Ensuring incentive payments are in line with approved policies.
Ensure timely recording of transactions for period closure.
Submission and confirmation and reconciliation of accounts payables and receivables.
Review Monthly Trail Balance and follow-up on exceptions for the region.
Maintaining Accruals, Prepayments and Advances.
Job Details
| Date Posted: | 2013-02-12 |
| Job Location: | Jeddah , Saudi Arabia |
| Job Role: | Accounting/Banking/Finance |
| Company Industry: | Automotive |
Preferred Candidate
| Career Level: | Management |
| Gender: | Male |
| Nationality: | Egypt; Eritrea; Jordan; Lebanon; Palestine; Saudi Arabia; Syria |
| Degree: | Baccalauréat / Diplôme supérieur |
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