Facilitate financial statements reporting.
Facilitate financial Analysis.
Act as one point of contact for all assigned Aramex stations .
Handle GL transactions and monthly reconciliation of GL accounts.
Ensure smooth operations and timely settlement of balances in coordination with the accounting manager and team leader.
Collaborate with the team to achieve its objectives.
Facilitate the flow of information horizontally and vertically.
Receive and verify all station entries requests.
Record the entries in the company financial system.
Get stations’ confirmation for financial transactions.
Issue debit / Credit notes.
Perform monthly reconciliation for the stations GL accounts .
Adhere to company HSSE, compliance and sustainability corporate policies and standard.
Ensure proper reconciliation of financial transactions among Aramex stations..
Ensure all GL transactions are checked and processed accurately and on time.
Assisting stations in clearing GL transactions and thus positively affecting the financial results of the company
Good communication skills.
Excellent command of English.
Excellent command Microsoft office.
Bachelor’s degree in Accounting.