Job Details
Experience Needed:
Career Level:
Education Level:
Salary:
Job Categories:
Skills And Tools:
Job Description
- Analyzing the daily bank’s statements and reflects debt and credit transactions on the department’s data base register.
- Handling the day to day operation with financial institutions through monitoring the implementation of cash transactions with no delay to insure smooth work flow.
- Processing all cash transactions regarding deposits, withdrawals & foreign currency exchanges in line with business needs.
- Reporting any cash shortage or surplus to the Treasury and Accounting Manager.
- Reviewing bank reconciliations and resolving unreconciled items for end of month closing.
- Review the position of postdated checks and insure its compliance with the agreed upon terms and condition with banks.
- Processing the bounced checks efficiently based on the approved follow up cycle to accelerate the collection.
- Reviews and drives improvements in cash management, ensuring financial obligations are being met in the preset due dates, and in accordance with Company policies and procedures.
- Following-up receivables balance and overdue balances with the Export
Job Requirements
- At Least 5 years of Banking Experience
- University Graduate, with preference to Commercial related Studies
- Excellent Level of English language is a Must
- Understanding of customer and market dynamics and requirements.