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About the role:
You will be responsible for processing supplier payments, reconciling supplier accounts and queries, as well as handling income booking/reconciliation. Additionally, you will be responsible for maintaining the check payment status and pulling the supporting documentation from files/vouchers and extract statements.
You will prepare monthly bank reconciliation statements, monitor inventory movement, monthly closing of accounts, preparation of financial statements and submit audited financials to the Ministry.
Job Details
| Date Posted: | 2013-05-31 |
| Job Location: | Bahrain |
| Job Role: | Accounting/Banking/Finance |
| Company Industry: | Accounting/Auditing |
Preferred Candidate
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