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Accountant

1.00 to 10.00 Years   Dubai, United Arab Emirates   19 May, 2024
Job LocationDubai, United Arab Emirates
EducationNot Mentioned
SalaryNot Mentioned
IndustryRetail & Wholesale
Functional AreaNot Mentioned

Job Description

This position will be responsible for the following:

  • Petty Cash Verification as per Petty Cash policy
  • Posting of Petty Cash Expenses for all companies
  • Payment through prepaid card/Cheque
  • Execute payment run and the exceptions are reviewed and highlighted
  • Prepaid Card Bank Charges ZFI_Factl file creation/ Payment
  • Maintaining card master file and updating as required, Applying and close of Prepaid wire card
  • Reversal of Documents as per request from business
  • Moving of Traffic fines to recovery account for payroll deduction
  • Following up with business for old IOU and Cheque in transit posting
  • Handling Petty cash queries
  • ECD authorization control for petty cashiers
  • Creating and assigning cash journals
  • Collecting and matching petty cash count on a periodic basis
  • Float Analysis for maintaining adequate Imprest balance
  • Peer Review of the Petty Cash Payments
  • Reconciliation of Credit Card Statements
  • Verifying Credit Card Claims
  • Posting Credit Card Claims
  • Payment of Credit card Claims (Transfer Letter/HSBC portal)
  • E-wallet Top-up for Branch?s and government payments through Credit card
  • Training of Petty cashier on cash journal on a continuous basis
  • Down payments creation/Petty Cash advances
  • Ensure clearing happens for GL account 110004. Balance should be Zero
  • Principal payments and Monthly payment cycleÿ
ÿWhat you will do
  • Timely I2Pÿpartnering support to Business in day-to-day operations
  • Daily monitor Cash clearing account and clear and highlight discrepancy to Business
  • Perform monthly / periodic reconciliation and substantiation of petty cash related accounts and highlight exceptions and related risks to the Business
  • Half-yearly / Yearly collection of petty cash balance confirmation from petty cashiers and highlight mismatch to Business.
  • Perform assigned month end book closing tasks within I2P
  • Identify and support process standardization and improvement initiatives to improve efficiency and quality of reporting for FSSC I2P processes
  • Any other I2P activities assigned from time to time
  • Handles the queries from Business for advance and forward to concern

Keyskills :

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