Job Description
- Controlling the funds, bankrolls and banks at the end of each day and controlling the Daily Bank Report.
- Controlling over payroll taxes and insurance and compliance in legal time.
- Collaborating with inspectors, auditors and tax auditors.
- Supervising the issuance of accounting documents and their archives.
- Supervising the issuance of checks, documents and transactions related to currency and Rial payments.
- Supervising all bank accounts and preparing monthly reconciliations.
- Monitoring fund withdrawal and issuing payment and receipt documents.
- Supervising the sending and receiving of letters and documents and conduct the necessary follow-up.
- Issuance of facility documents and monthly interest expense.
- Performing Correct implementation of regulations and statutory letterheads and company-level accountant’s operations.
- Proper interaction with other units of the organization.
- Cooperating with the accounting manager and the finance manager to carry out the tasks.
- Controlling the issuance of checks issued by group companies to banks for banking facilities.
- Controlling the calculation of the required level of guarantee for the facility.
- Supervising the receipt of checks from companies and banks and record checks made in the accounting system.
- Preparing other reports as assignments by the management.
Requirements
- A university degree in Finance, Accounting, or similar fields.
- At least 3 years of supervisory experience in accounting and treasury.
- Working knowledge of English, written and spoken.
- Proficiency in accounting and tax software.
- Familiar with the conduct of bank financial affairs.
- Familiar with IFRS.
- Familiar with SAP Business One.
- Familiar with financial reports analysis and preparing the fundamental financial statements.
- Trusted, confident, with good ethics and behavior.
- Hardworking and able to work under pressure.
- Proficiency in Microsoft Office, especially Outlook.
برای مشاهدهی شغلهایی که ارتباط بیشتری با حرفهی شما دارد،