Job Description:
- Perform all accounting tasks for all Aramex stations’ related to Monthly Intercompany accounts reconciliation and balance confirmation.
- Act as one point of contact for all assigned Aramex stations.
- Handle the intercompany transactions and monthly reconciliation.
- Ensure smooth operations and timely settlement of balances in coordination with the accounting manager and team leader.
- Receive and verify all station’s invoices.
- Record invoices in the company financial system.
- Get stations’ confirmation for financial transactions.
- Issue debit / Credit notes.
- Perform monthly reconciliation for the stations accounts.
- Transfer invoices to the company financial system daily.
- Send invoices to concerned stations.
- Continuously follow up with stations to solve pending cases.
- Close cases before the deadline and closing the month.
- Confirm monthly intercompany balance with stations.
Job Requirements:
- Good communication skills.
- Excellent command of English.
- Competency in Microsoft applications including Word, Excel, and Outlook.
- Team spirit.
- Bachelors degree in Accounting
Profile description:
Aramex International L. L. C.