رئیس خزانه‌داری

گروه درمان یاب تهران

منتشر شده 1 ماه پیش

Job Description

  • Reconcile bank accounts and prepare bank reconciliation reports on a weekly and monthly basis.
  • Booking different types of accounting entries on a daily basis along with documentation.
  • Contacting and reporting to all team members as required.
  • Controlling all post-dated cheques and preparing the short-term obligations report.
  • Communicating and corresponding with other departments.
  • Handling issuance and extension of letters of guarantees.
  • Preparing the requirements for the bank facilities.

Requirements:

  • Bachelor's degree in Finance, or Accounting.
  • At least 5 years of experience as a head of treasury.
  • Good and friendly personality.
  • Honest, and hardworking.
  • Ability to communicate at all levels.
  • Fluent in MS Office, especially Excel, Word, and Outlook.
  • Good knowledge of accounting computer software (Hamkaran).
  • Ability to handle the work via internal workflows (BPMS) and emails.
  • Ability to work with Internet banking panels.

Employment Type

  • Full Time

Seniority

Details

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