Purpose:
- Monitoring for all transactions which related to Projects,(AP, A/R , Project , GL, Inventory , Controlling, etc..)
Contracts and Sales Invoice:
- Study all the clients contracts and be sure that the sales invoices are issued based on the payment terms in the contract
- Inform the management if there are advance sales invoice not issue yet
- Be sure that the bank guarantee was issued for all projects and matching with
- Be sure that all sales invoices was issued based on the actual POC and shortage billing reports
Collections:
- Be sure that all collections was recorded either through the treasury or bank.
- Be sure from make clearing to all collections with sales invoices
Vendor Invoice:
- Follow up with BU to make finalize for all vendor invoices which was received it due the done progress
- Be sure from making finalization for all vendor invoice on system after approve it from BU based on MIGO reports.
- Revise the vendor invoices if there any comments or mistake
Payments:
- Be sue from issue the payments for due vendor invoices based on the payment terms.
- Be sure from issue the advance payment for purchase order based on payment terms
- Be sure from Making clear for advance payment with progress vendor invoices
- Follow up for prepare the LC invoice and get approved from BU & concerned authorizer.
Reports:
- Prepare the aging report and discuss the same with BU.
- Prepare the shortage billing report based on actual POC and discuss the same with BU.
- Checking the unknown deposits amounts with BU and solve the issue.
- Make report for All critical issue and discuss the same with BU to take the correct action.
- Be sure from making the provision for all doubt amounts and checking the impact on ECL.
Banks:
- Checking daily statement of account for all banks and be sure that no any risks in the bank transactions.
- Be sure from Upload all daily bank transaction on ZFF67 (for banks which not link with bank by MT940)
- Be sure from making daily reconciliation for all bank and make clearing “FEBA” for all matching transactions between bank and system.
- Be sure from make monthly reconciliation for all banks,
Treasury (CT):
- Be Sure from making daily reconciliation with treasury and find the differences and follow up to record the pending transactions with from all sides
- Be sure from record all CT transactions (LG charges ,LC charges, finance cost, internal transfer ,etc.…) and take samples to be sure that the cost recorded by correct way.
- Be Sure from making the monthly reconciliation with CT and sign it from all sides.
Reporting:
- Make monthly report(summary) for all banks accounts include all the special cases which was happened during the month and what is the criteria to process it
Job Details
Posted Date: | 2024-09-24 |
Job Location: | Saudi Arabia – Riyadh |
Job Role: | Accounting and Auditing |
Company Industry: | Construction & Building |
Preferred Candidate
Career Level: | Mid Career |
Nationality: | United Arab Emirates; Bahrain; Djibouti; Algeria; Egypt; Iraq; Jordan; Comoros; Kuwait; Lebanon; Libya; Morocco; Mauritania; Oman; Palestine; Qatar; Saudi Arabia; Sudan; Somalia; Syria; Tunisia; Yemen |
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