Accounts Supervisor- Treasury

lxbfYeaa - Qatar - Doha

Cash Management & Banking Operations:

  • Prepare monthly payment schedules (Loans & LC acceptances) - USD/QAR/EUR
  • Update individual & group debt profile
  • Monitor daily Bank balance and cash position report.
  • Collect, monitor & verify all the debit advice from the banks. If any calculation error from bank based on advice, following up with them to get the refunds.
  • Prepare the monthly debt profile & reconcile with the Ledger.
  • Monitor month end inventory position and monthly sales figure reports
  • Monitoring funds position as per the cash flow & reporting to the finance manager when required.
  • Monitor distribution of bank statements on EOM or on request from MIS team and After sales accounts
  • Monitor and support the transfer status (Debit) of each fund transfers & payments (Online/Manual)
  • Arranging the Bank letters/Fund Transfers distribution with the messengers
  • Preparing, reviewing bank related letters & forms when required
  • Contacting banks to resolve any issues related to corporate credit cards, Internet banking issues, any other bank related issue.

Trade finance related tasks:

  • Review & follow up the LC openings /amendments with the bank & filing.
  • Review & follow up the Tender bonds/Guarantees with the bank & Filing.
  • Review & follow up Export Letter of Credits

Sales related tasks:

  • Assisting sales team for bank related tasks (Receivable fund transfers / LC related matters).
  • Arranging for IBAN certificates based on sales team requests.
  • Coordinate with bank to fix the issues related to POS machines.

T-SYSTEM (Group level):

  • Create new companies.
  • Update bank account details
  • Processing applications/tasks to sign off related to the group while keeping the system updated.
  • Updating credit Facilities in the system
  • Arranging pending task report for CMD signoff
  • Any other task assigned by GTM to keep the system updated.

Other tasks:

  • Responding to Audit queries
  • Assisting to group companies for complete any bank related documentation when required.
  • Any other reports/works assigned by FM/TM/CFO

Post date: Today
Publisher: LinkedIn
Post date: Today
Publisher: LinkedIn