Job Description

Participate in setting departmental strategic goals and develop interdepartmental policies and procedures:

  • Support treasury and accounts payable section head in planning section’s work program and determine auditing and reporting requirements of the department.
  • Support treasury and accounts payable section head in ensuring departmental policies are aligned with departmental goals and plans.

Perform Operational Assignments:

  • Perform all treasury and accounts payable initiatives, processes, and activities in conformance with the organization's established policies and objectives and take corrective actions when necessary.
  • Maintain a reliable treasury and accounts payable data acquisition system in place.
  • Generate and distribute treasury and accounts payable analysis reports.
  • Prepare daily budget planning; apply for cash-in-hand and withdraw cash from banks in conformance with accounts balance and payment vouchers.
  • Collect and log beneficiaries’ information of subcontractors and vendors and prepare bank instructions for telegraphic transfers in conformance with approved payment vouchers.
  • Maintain a database of financial transactions including cash payments.
  • Communicate with banks for any banking-related issues.
  • Ensure proper flow of cash (including cash in hand and cash in banks) for operational activities.
  • Ensure secure archiving of treasury and accounts payable documents.
  • Ensure accounts payable reports are in a timely prepared and all data including accounts, budget codes, and analysis codes are registered accurately.
  • Ensure the invoices for SAP cost recovery are adequately supported on a monthly basis.
  • Keep the reconciliation with the bank periodically and maintain the balances in a clear and correct manner.
  • Ensure that all the cash, bank checks, and documents are being issued and processed in a safe and secure manner.
  • Maintain periodic reconciliation with creditors and debtors.
  • Ensure full compliance of designated activities with HSE regulations and policies.
  • Take part in responding to internal or external auditing practices.
  • Control financial data:
  • Support treasury and accounts payable section head in controlling the section’s activities in conformance with the approved budget and make certain cost recovery requirements are properly met.
  • Process payable invoices and ensure timely payment to subcontractors and vendors as well as employee salaries.

Requirements

  • Bachelor's degree in Finance, Management, or other relevant fields.
  • At least 3 years of experience in a related field with a proven track record.
  • Knowledge of the practical application of financial management science and technology, including applying principles, techniques, and procedures to the design and perform financial activities.
  • Communication: to adjust the tone and style according to the audience, comprehend and act efficiently on instructions, and explain complex issues to colleagues and clients alike.
  • Teamwork: to have the intuition and interpersonal acumen to know when to be a listener, and to be perceptive, as well as receptive to the needs and responsibilities of others.
  • Flexibility: to demonstrate an ability and willingness to acquire new hard skills, and an open-mindedness to new tasks and new challenges, to show a willing and upbeat attitude.
  • Ability to work under pressure and time management: to think clearly and to have the capacity to compartmentalize and set stress aside within tight deadlines.
  • Knowledge of analytical and scientific software related to financial management.
  • Knowledge of database management software.
  • Knowledge of MS Office, presentation software, spreadsheet, etc.
  • Knowledge of English (the official language of the company).

Employment Type

  • Full Time

Details

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