Job Summary:
Implementing daily accounting activities of payables, receivables, and general ledger as well as ensuring high efficiency and effectiveness of the accounting operations through implementing Accounting policies and procedures.
Job Responsibilities:
• Entering all invoices and bank statements on the system on daily basis and conducting a balance periodically between company account and clients’ accounts.
• Keeping and following up the debts and credits accounts on a monthly basis, preparing monthly bank reconciliation and sending these reports to the Accounting Section Head.
• Verifying and calculating all purchasing invoices and submitting cash at suppliers’ accounts after checking their accuracy and conducting fixed assets verification (Acquisition) on quart basis.
• Performing reconciliations; accrues and records interest receivable and payable; prepares standard quarterly and annual financial statements and reports.
• Conducting Follow up on the daily cash flows and checking that they are correct and ensuring that every entry has been entered correctly.
• Following up on receiving all cash receipts on daily basis and reconciling against bank deposits.
• Monitoring payments’ arrangement activities within IBSF and ensure accuracy of each payment.
Job Details
| Date Posted: | 2016-05-16 |
| Job Location: | Riyadh, Saudi Arabia |
| Job Role: | Accounting/Banking/Finance |
| Company Industry: | Industrial |
Preferred Candidate
| Career Level: | Mid Career |
| Gender: | Male |
| Degree: | Bachelor's degree |
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