Cash Management Accountant

الوصف الوظيفي

Role Summary:

Perform bank reconciliation on timely basis. Enter transactions in the financial system and assist the treasury manager in the department work.

Duties & Responsibilities:

  • Maintain general accounting systems (i.e. recording disbursements, expenses, and daily recording and monitoring of bank transactions, etc.).

  • Core engagement in monthly bank reconciliations on ERP from recording to report submission.

  • Maintain general ledger, collect the financial records from the various operational systems and submit accurate data for reports on a timely basis.

  • Responsible accounts payable, accounts receivable, fixed assets and inventory accounts.

  • Commit to metrics and benchmarks for the accounting functions and work to continuously meet cycle time and error rate.

  • Additional duties as assigned, Such as assisting in the treasury analysis function.

جميع الحقوق محفوظة لموقع جوبس.

متطلبات الوظيفة

Experience & Education:

  • BA or equivalent in a related field.

  • Minimum of three years progressively responsible accounting experience.

  • CMA is preferred.

Skills & Qualifications:

  • Excellent technical knowledge of all accounting functional areas.

  • Skilled in math applications.

  • Excellent time management, communications, decision making, presentation, human relations, and organizational skills.

  • experience as a full charge bookkeeper.

  • excel, database and financial systems software at an advanced level, crystal reports or other reporting software skills at a senior level.

تفاصيل الوظيفة
المسمى الوظيفي Cash Management Accountant
آخر موعد للتقديم 26 - Jan - 2024
المكان رام الله والبيرة
نوع الوظيفة دوام كامل
المستوى المهني متوسط الخبرة
الراتب N/A
الدرجة العلمية البكالوريوس
الخبرة 3 سنوات
آلية التقديم

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