Accountabilities
JOB DESCRIPTION
POS Claims & Disagreed:
- Provide support to (POS) Disagreed on a daily basis through reviewing the bank statements and system report, respond and follow-up on a timely manner, and recover with no delays.
- Prepare necessary bank claims and reply accordingly to the requested sales slips by banks.
Bank Reconciliations – Cash & POS Accounts:
- Prepare monthly Bank reconciliations for all NMC and investor bank accounts and taking appropriate actions / prepare adjustments in order to resolve the outstanding transactions.
- Share monthly outstanding and follow-up with the relevant stake holders to clear on a timely manner.
Back up Support:
- Provide back-up support for other bank reconciliation functions in order to facilitate and achieve department objectives on a timely manner.
Employee’s duties are not limited only to the above-mentioned Accountabilities; he/she may perform other duties as assigned.
Work Environment:
- Indoors : 100%
- Outdoors : 0%
- Working Days : 5 Working Days
- Days off : 2 Days Off
- Working Hours : 8 AM – 5 PM (1 hour break)
Job Requirements:
Education
- Intermediate / Diploma in Accounting, Finance or Commerce
Experience
- 2 years’ experience in Accounting
Computer Skills
- MS Office Suite (Intermediate Level)
Languages