Main Purpose of the Role
Handling money collection, daily transactions and data entry, reporting, and necessary archiving and filing of collection sheets.
Main Responsiblities
- Collects cash money and checks from the sales force team.
- Coordinate with Nestlé Business Services (NBS) Team in Cairo & finance team in Jeddah to ensure that all collections are timely posted in SAP.
- Prepares returned checks report and liaise with bank and sales team to collect the cheques.
- Clear the open items in the accounts receivables bank reconciliation in alignment with the finance team in Jeddah & NBS.
- Prepare the daily cash situation report
- Prepare the bank deposit slips and hand over to bank security team
- Reconcile the deposits on bank statement and ensure that all the cheque/cash are recorded in the bank statement.
- Prepare and provide the list of non-sales related receipts to finance team for further posting.
- Filling and archive of all the receipts for future reference.
- Participate in the audit preparation and support team during audit period.
Job Details
| Date Posted: | 2014-10-07 |
| Job Location: | Riyadh, Saudi Arabia |
| Job Role: | Accounting/Banking/Finance |
| Company Industry: | FMCG |
Preferred Candidate
| Career Level: | Entry Level |
| Nationality: | Saudi Arabia |
| Degree: | Certification / diploma |
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Date Posted: October 07, 2014 at 11:37AM
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Cashier - Finance - Nestlé Middle East FZE
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