Jobs in Egypt - AO Associate Bank Reconciliation at Nestle
AO Associate Bank Reconciliation at Nestle
Location: New Cairo
Job Description:
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Prepare periodic / daily cash account reconciliations
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Obtain bank statements and general ledger information to complete reconciliation
- Prepares Aging schedule for unreconciled bank items/transactions
- Prepares daily bank clearing summary and daily outstanding checks
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Investigate causes of reconciliation issues
- Communicate required adjustments in a timely manner to clear reconciling itemswith the accounts receivable & accounts payable of NBS Cairo and external parties to keep them up to date with the transactions that transpire in our bank account.
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Daily uploading of bank statements into GLOBE
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Resolve reconciliation differences including requesting adjustment approvals and performing approved write-offs (e.g. unidentified deposits/unrecorded payments)
To Apply:
https://tas-nestle.taleo.net/careersection/3/jobdetail.ftl?job=170000XJ&tz=GMT%2B02%3A00
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