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الوصف الوظيفي Day to Day Cash control (Daily Cash count after tallying with Trial Balance, Monitor Cash Balance as per Insurance….) Cash & Bank Reconciliation on Daily basis Calculating and managing the company’s overall cash position Relationships with Bank Service Providers Handle Loans related matters with Banks And Sending Request Letters Create a table to control due Dates L/C s with Banks Create table to control Bank STL Interest And Financial Charge And Overdraft Charge Prepare Letter of Credit (LC) and Letter of Guarantee (LG) preparation and follow-ups with banks to ensure all related transactions are taking place properly and on-time Open New Bank Account: Documentation required to open new Bank Account Prepare Rejected/postponed Check Log Prepare Log on daily basis for official receipt books Follow-up with Banks For Rates ( for All Currency ), identification of unknown incoming transfers and unjustifiable deductions along with checking the overdraft on monthly basis المهارات تفاصيل الوظيفة https://www.bayt.com/ar/saudi-arabia/jobs/Ø³ÙØ±ØªØ§Ø±ÙÙ-Ø§ÙØ´Ø¦ÙÙ-اÙÙØ§ÙÙÙÙØ©-Ø¨Ø§ÙØªØ¬Ù ع-تÙÙÙÙ-داخÙÙ-ÙÙ ÙØ³ÙبÙ-Ø§ÙØªØ¬Ù ع-Ø§ÙØµØÙ-Ø§ÙØ£ÙÙ-4261564/ |
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