تفاصيل الوظيفة

  • Responsible for inserting financial banking transactions.
  • Reconcile banks general ledger with banking module.
  • Arrange with AP team for the needed payment as per cash flow plan.
  • Follow collections and get swifts from different banks.
  • Update cash flow forecasting on weekly basis.
  • Report the status of the credit line ( used, available, deadline for settlement ).
  • Review the calculation of deducted interests & fees.
  • Handle Compliance procedures of different banks such as IDCs closing.

Similar Jobs