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Cashier

Saeed & Mohammed Al Naboodah Group

Abu Dhabi

On-site

AED 40,000 - 70,000

Full time

Yesterday
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Job summary

An established industry player is seeking a detail-oriented Cash Management Specialist to oversee cash transactions and ensure financial accuracy. This role involves managing cash receipts, processing payments, and maintaining records to support smooth business operations. The ideal candidate will possess strong mathematical skills, a degree in Accounting or Finance, and experience in cash management. Join a dynamic team where your contributions will directly impact the financial health of the organization and help foster a compliant and friendly work environment.

Qualifications

  • Minimum 3 years of related experience in cash management.
  • Ability to spot numerical errors and maintain accurate records.

Responsibilities

  • Oversee all cash transactions and ensure timely deposits.
  • Reconcile cash accounts and maintain accurate financial records.
  • Ensure compliance with local laws and client requirements.

Skills

Fluent in English
Good math skills
Computer skills

Education

BS degree in Accounting/Finance

Job description

PURPOSE OF THE JOB

To oversee all cash transactions and ensure timely deposit of cash into bank to smooth business activities.

RESPONSIBILITIES

  • Ensure efficient and timely processing of cash receipts and payments.
  • Receives cheques/cash from collectors on daily basis (monies received matched to invoices by Collectors).
  • Maintains record of cash advances and collates all related paperwork.
  • Oversees and records all petty cash transactions for Swaidan Head Office; prepares petty cash purchase analysis after appropriate approvals.
  • Reconciles on daily basis, all monies collected by Assistant Cashier.
  • On daily basis, receives monies from Automotive Service Center Cashier, monies from Automotive/CV & HE Service Center and Spare Parts.
  • Reconciles all monies collected on daily basis.
  • Prepare bank slips for cash deposits.
  • Monitor acceptance and submission to bank of post-dated cheques.
  • Receives overtime sheets and calculates overtime payable to staff.
  • Reconcile cash accounts with financial documents and update the cash book regularly.
  • Make refunds according to set procedures.
  • Ensure timely and accurate processing of petty cash requests and reimbursements.
  • Processing of all cash transactions and wire transfer payments.
  • Maintains accurate financial records and expenditures.
  • Implement safe and friendly environment practices in each work area.
  • Comply and implement the local laws and client’s requirements related to QHSEMS aspects at workplace, as per the bestowed authority and responsibility.
  • Carries out any additional tasks assigned (in line with qualifications and ability) by line manager.

Qualifications & Education

  • BS degree in Accounting/Finance.

Experience

  • Minimum 3years of related experience.

Knowledge & Skills

  • Fluent in English; Arabic an advantage.
  • Good math skills and the ability to spot numerical errors.
  • Computer skills.
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