Treasury Accountant

  • Prepare monthly and upon request reconciliation for all accounts related to his title.
  • Reconcile sub-ledger with general ledger accounts and ensure that all sub accounts are tally with main accounts.
  • Reconciliation of bank account statements monthly.
  • Review bank account statements daily.
  • Reconcile checks under collection.
  • Reconcile the supplier check with the system.
  • Prepare and execute payments to vendors, suppliers, and other creditors via cheque, electronic transfer, or other payment methods. Ensure that payments are made within the agreed-upon terms.
  • Review and process employee expense reports, ensuring compliance with company policies and proper documentation
  • Petty cash reconciliation (deposits and expenses) Review journal entries and accounting guidance for the petty cash
  • Prepare the banking balance.
  • Employee debtors’ reconciliations.

Bachelor’s degree in accounting, Accounting departmentSatisfactory completion of a minimum 1 - 2 years progressive experienceEnglish language skillsProven leadership skills.An analytical approach to problem solving.
Post date: 4 August 2025
Publisher: Wuzzuf .com
Post date: 4 August 2025
Publisher: Wuzzuf .com