• Controlling customer accounts and making necessary adjustments.
• Pursuing settlement of accounts with debtors.
• Cooperate in closing accounts at the end of the financial period.
• Control and supervision of the proper implementation of the duties of the accounting personnel.
• Checking the accuracy of documents attached to accounting documents
• Control of calculations of receipts and payments.
• The correctness of the heading (code) of the articles of the issued accounting documents.
• Controlling circulation and account balances.
• Coordinating and cooperating with the auditors of the company in order to clarify and remove ambiguity from the accounts and documents and improve the quality of the reports provided by them.
• Carrying out all assigned tasks "only" based on written methods, regulations and approved instructions, and in case of lack of access to the necessary methods in the desired fields or recognizing the need to modify the existing methods, inquire about the matter from the financial manager before taking any executive action.
• Providing the required financial reports to superiors.
• Answering and resolving questions and technical problems of the accounting unit personnel and if necessary, transferring the cases to the financial manager to determine the assignment
• Maintenance and management of mechanized accounting and fund and payroll systems and other software systems as needed and daily registration of necessary information in them.
Issuing documents related to closing accounts and opening documents.
• Cooperation with the financial manager and other financial affairs units to close the accounts at the end of the financial period and prepare basic financial statements and interim statements and reports.
• Communication with the banks of the company's account.
• Control of the documents and documents attached to the documents in terms of the adequacy of the documents and the accuracy of the calculations, the sum of the number and rials of the invoices, the adequacy of the approvers, etc.
• Controlling the flow of accounts and their balances and reporting suspicious cases or mistakes to the CEO to follow up or issue correction documents.
• Following up the settlement of the accounts of the payers at the end of the financial period or at other times announced by the CEO
• Controlling the company's contracts with various units and third parties or companies at every stage of payment and confirming their work progress.
• Complete familiarity with the processes of bank credits and guarantee documents and treasury
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.