forasna.com
تفاصيل الوظيفة
Prepare and review the daily settlements (Mobadlat) and ensure the completeness
of the supporting documents and signature, also ensure that there is no
settlements not reviewed .
• Record the manual invoices on SB
• Review the credit invoices and reconcile them with daily credit report to ensure the
completeness of the invoices.
• Prepare and send the KA and MT invoices to the central AR.
• Close the daily financial period and review the daily entry.
• Prepare daily sales and customer status reports to be sent to sales team timely
and accurately.
• Prepare and review the credit documents and keep track for the credit guarantee.
• Review cash cycle daily with the proper documentation.
Prepare and review GL activities.
• Prepare Other revenue transactions.
• Prepare and review Stands documentations.
Participate in the monthly closing as per closing checklist and prepare the monthly
reports.
• Execute the market samples on a monthly basis as per OTC and Coolers policies.
• Receive the cash from CRs and customers if needed.
• Responsible for reviewer tasks if needed.
• prepare the insurance documentation to be sent to insurance team.
Prepare and send the invoices for the centralized customers to prepare the claims.
• Participate in fiscal count task force (Monthly, quarterly, etc.…).
• Obtain the credit guarantee for the CR/customers as per OTC policy.
• Prepare inventory reports such as Marketing free products, Write off report,
samples, etc..
• Prepare the customer balance confirmations on a monthly basis and identify and
solve all the variances if any.
• Prepare customer balance reconciliation SAP VS SB VS open items on monthly
basis.
• Prepare CRs sales achievements and send it to payroll team.
• Deliver HO requirements timely and accurately.
• Participate in department projects as requested.
• Prepare COSO testing quarterly.