شرح شغل:
شرایط احراز:
• Preparation of daily, weekly, monthly cash flow forecasts.
• Preparation of bank reconciliation statements on a daily basis. >• Complete familiarity with the process of receiving sales documents and registering them in the treasury
• Issuing and receiving payable and receivable documents
• Keeping payables and other cash and securities
• Keeping financial documents and all archival matters Financial and administrative
• Registration of related accounting documents
• Related follow-ups regarding documents in the process of being collected and requested
• Complete mastery of the fisher's check system
• Complete familiarity with banking facilities and identification of expenses Financial
Skills required
• Strong analytical skills
• Problem solving skills and providing solutions
• Strong communication skills
• Implementation of order and precision enough at work
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.