Key Responsibilities & Tasks
1. Bank Reconciliation & Administration
- Reconcile bank statements and resolve discrepancies promptly.
- Prepare accurate reconciliation reports per accounting standards.
- Obtain and manage LCs and Bank Guarantees on favorable terms.
2. Cash Management & Treasury
- Monitor fund availability and forecast cash flow needs.
- Oversee petty cash and corporate card usage across business units.
- Manage short-term deposits, fixed deposits, and optimize investment returns.
3. Financial Reporting & Compliance
- Assist in preparing accurate financial reports and analyses.
- Ensure compliance with IFRS/GAAP and company policies.
4. Audit, Risk & Stakeholder Coordination
- Maintain internal controls and support audits.
- Identify and mitigate financial risks.
- Liaise effectively with auditors and key stakeholders.
5. Other Duties
- Perform additional tasks as assigned by the Treasury Manager.
Minimum Qualifications, Certificates, and SkillsEducation
- Bachelor’s degree in Accounting, Finance, or a related field.
Work Experience
- Minimum of 5 years of experience in accounting and bank reconciliation, preferably within the transportation or service industry.
Certifications & Trainings
- Relevant certification or training in:
- Bank Reconciliation and Accounting
- IFRS or GAAP
- Professional qualification preferred (ACCA, CA, CFA, or equivalent).
Job Types: Full-time, Permanent
Pay: QAR8,000.00 - QAR9,000.00 per month
Application Question(s):
- Do you have bachelors in degree in accounting, finance, or related field
(ACCA/CA/CFA)?
Experience:
- similar : 5 years (Required)
License/Certification:
- IFRS or GAAP certification (Preferred)