شرح شغل:
-Delivering received documents, including checks and all collections from the company's account parties and counting, verifying their accuracy and registering them in terms of their contents and compliance with relevant invoices and documents in order to carry out current affairs of the treasury, maintain and protect documents, documents and funds. Receipts in the group's treasury
- checking the balances of the fund and bank accounts at the beginning and end of the administrative work every day through their compliance with the banking and accounting systems in order to detect and resolve discrepancies in the fund and accounts Company banking
-Registration of all receipt and payment documents in the treasury and financial system
-Charging the units after making sure of the necessity of charging and completion of the relevant instructions and documents
-Preparation of bank and balance statement bank statements at the end of each month and presenting to superiors
-controlling and managing checkbooks and preparing and sending checkbook issuance requests before completing the check sheet
-managing receivables documents in order to hand over checks on time Customers to designated accounts
این آگهی از وبسایت ایران تلنت پیدا شده، با زدن دکمهی تماس با کارفرما، به وبسایت ایران تلنت برین و از اونجا برای این شغل اقدام کنین.