Search Results: 93 vacancies
...Description
Provide day to day support to HRO team in areas on compensation, personnel, benefits, HRIS and compliance activities.
Review the monthly Payroll Results, Bank Files & Reports for each client before submission to ensure the quality and accuracy of the...
...statements.
Collaborate with the finance team to reconcile bank statements, credit card statements, and other financial records... ...ensure accurate financial reporting.
Assist with audits and compliance activities, ensuring proper documentation and internal controls...
...record for all quotations, sales, and activity reports.
Full compliance with all company policies and procedures and work and... ...infrastructure, Passive components.
Preferable very good existence on the following market segments:
Banking ,Education or Health Care ....
...statements.
Collaborate with the finance team to reconcile bank statements, credit card statements, and other financial records... ...accurate financial reporting.
Assist with audits and compliance activities, ensuring proper documentation and internal controls...
...Description
Responsible for Monthly deliverables (Payroll Results, Bank Files & Reports) for each client according to the agreed... ...leavers, and other amendments to salaries and employee data in compliance with policy and payroll requirements.
- Responsible for collecting...
...Evaluate the significant procedures’ effectiveness, efficiency, compliance with the laws and regulations of the country and develop... ...compliance with the laws and regulations of the country and Central Bank regulations where applicable.
Develop recommendations for bringing...
...statements in time.
Handle monthly, quarterly and annual closings.
Reconcile accounts payable and receivable.
Ensure timely bank payments.
Compute taxes and prepare tax returns.
Manage balance sheets and profit/loss statements and journal entries....
...relevant parties.
Handle ongoing communication with chartered accountant, social insurance and social affairs office.
Handle all bank transactions upon acquiring required approvals.
Handle other relevant duties as assigned by direct manager.
Recording all...
...trade vendor’s reconciliation are done every month end.
Notifying the vendor and the management of any additional cost involved on Bank Transfer, in order to minimize exposure of charges and unforeseen loss to the company.
Vendor Payments to be processed as per...
...financial statements in time
Handle monthly, quarterly and annual closings
Reconcile accounts payable and receivable
Ensure timely bank payments
Compute taxes and prepare tax returns
Manage balance sheets and profit/loss statements
Report on the company’s...
...financial statements in time
Handle monthly, quarterly and annual closings
Reconcile accounts payable and receivable
Ensure timely bank payments
Compute taxes and prepare tax returns
Audit financial transactions and documents
Reinforce financial data...
...Job Description
Handle daily operation with banks (Cheques; LCs; LGs; Cash; Transfers;…etc)
Daily update of cash position for all bank accounts, and cash box in all stores.
Ensure that all banks transactions recorded & maintained in the system.
Prepare monthly...
...# Execute and Maintain on time completion of Export documentation cycle for assigned Accounts .
# Handling Field processing of Bank related documentation cycle .
# Review Related Logistics service provider invoices and upload to ERP System.
# Local Delivery Control...
...procedures.
- Collect daily, weekly or monthly time-sheets.
- Prepare employees compensation by the end of each month
- Schedule bank payments or hand out paychecks directly to employees.
- Ensure wages and tax with holdings comply with regulations.
- Enter new...
...are properly filled and completed by employees and attaches all necessary documents required by the government.
Ensures necessary bank forms are filled for the completion of employee direct deposit, and oversees the opening procedures for new employee accounts....
...dimensions if needed.
Job Requirements
Job Requirements :
5-7 Years of Experience of which at least 3 years in FP&A.
Non-Banking Financial Institute (Microfinance, Consumer Finance, Mortgage, Leasing) is a great plus.
Key Requirements and Skills:...
...Job Description
Update financial spreadsheets with daily transactions
Prepare balance sheets
Track and reconcile bank statements
Create cost analysis reports (fixed and variable costs)
Process tax payments
Support monthly payroll and keep organized records...
...financial statements in time
Handle monthly, quarterly and annual closings
Reconcile accounts payable and receivable
Ensure timely bank payments
Compute taxes and prepare tax returns
Manage balance sheets and profit/loss statements
Report on the company’s...
...Recording accounting entries using Acer input
AP Establish payments, after checking the content (disputes etc.) and ensuring that the bank balance allows it (identify due invoices)
AP Establish manual payments (Prepare Excel form)
AP Follow up the reconciliation of...
...positions.
Performing daily cash positions and sources of uses of cash (Cash roadmap report).
Manage Company’s Relations with current banks while assurance of meeting banks agreed covenants during the relation.
Manage Accessing new funds with new or existing banks for...