To assist in implementing MTNIrancell's financial strategies in cash sum and banking areas, including:
Collecting the bill charges of the postpaid subscribers
Collecting the recharge card fees through electronic banking channels
Applying the new banking methods for acceleration and facilitation of the collection of the recharge card payments made by the subscribers
Roles & Responsibilities:
To collaborate in the implementation of the new business procedures in the Treasury team
To liaise with the Revenue Dept., ITS, S&D, and CR divisions on daily and month-end reports (i.e. matching their reports with bank statements)
To receive payment data files from the bank daily and upload the same in the ERP system
To prepare banking transaction reports from the ERP system and follow to remove the discrepancies.
To administrate daily documentation of all refunds (received from CR, MTNI Stores, or Legal) for later audits
To resolve issues faced by the subscribers related to paying their charges
To prepare monthly reports for GSM and OLR payments and send the same to Sales and Distribution and Revenue
To prepare reports for carrying out the operations related to refunding of all payments related to impacted subscribers
Education:
Bachelor Degree in Financial Management / Accounting
Technical Competencies:
Financial Administration
Data Gathering and Processing
Financial Analysis
Local Accounting Standards
Banking Law
Processing and Recording Financial Transactions
Trend Analysis
Behavioral Competencies:
Lead With Care
Act with inclusion
Serve with respect
Can-do with integrity
Collaborate with agility
این آگهی از وبسایت جاب ویژن پیدا شده، با زدن دکمهی تماس با کارفرما، به وبسایت جاب ویژن برین و از اونجا برای این شغل اقدام کنین.
هشدار
توجه داشته باشید که دریافت هزینه از کارجو برای استخدام با هر عنوانی غیرقانونی است. در صورت مواجهه با موارد مشکوک، با کلیک بر روی «گزارش مشکل آگهی» به ما در پیگیری تخلفات کمک کنید.