Posted:4 hours ago|
Platform:
On-site
Full Time
Position: Finance Associate
Location: Qatar
About the Role: Join our team as a Finance Associate to assist with Financial reporting, Account management, and Budgeting.
ROLES AND RESPONSIBILITIES:
1. INTERNAL CONTROLS
Review of Internal
Financial Controls with respect to each process and assisting Finance Manager inlaying down an internal financial control processdocumentation.
Regularly monitoring of inventory
controls including creation of a robust inventory management and reportingsystem.
Ensuring strict internal control
processes in managing Accounts Payable, Accounts Receivable, Fixed Assets, andCash.
Creation of a Fixed Asset Register and monitoring of
fixed assets of the Group as a whole
2. PAYROLL AND EMPLOYEE RELATED PAYMENTS
· Review and Finalize the TAAS (Time & Attendance System) of the employees of the assigned center.
· Verification of monthly Doctor wise insurance rejection report.
· Doctor Wise remuneration calculation of the assigned center.
· Ensure proper management of payments related to Employee facilities like Accommodation,
3. REPORTING & VERIFICATION
· Recording of the journal entries for accruals and adjustments.
· Periodical Reconciliation of Bank Statement.
· Periodical Reconciliation of Balance Sheet Accounts.
· Ensure timely (Daily and Periodical) revenue reports and analysis to the management.
· Verification of cash ledger, bank ledger, bank reconciliation statement, POS charges computational file.
· Review and Report metrics, KPI tracking, and reports for respective branches.
4. REVENUE / ACCOUNTS RECEIVABLE
· Review of the internal controls to prevent revenue leakage especially with respect to daily cash collection
· Daily Cash Collection, Reconciliation and ensure the Depositing to the Bank.
· Regular follow up of pending payments from Insurance and corporates companies in coordination with the Insurance and Corporate Relations department.
· Review and Report the receivable ageing report and ensuring corrective actions are taken therein.
· Monitoring of POS transactions.
· Proper documentation and maintenance of approved Insurance/ Corporate Contracts.
5. EXPENSES / ACCOUNTS PAYABLE
· Proper monitoring of daily transaction processing of Purchase Vouchers in line with the three way matching (Purchase Order, Goods Receipt Note and Vendor Invoice).
· Payment and Recording of all the Petty Cash disbursements
· Payment and Recording of all the Vendor Payments as per the payment method/Period agreed.
· Monitoring of the vendor ageing reports to ensure payments are scheduled and disbursed in line with the cash flow allocation.
· Monitoring and recording of corporate credit card payments, contracts and intercompany transactions.
Qualifications:
Job Types: Full-time, Fresher
Application Question(s):
Experience:
Work Location: In person
33 Holdings Global
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