1. The Treasurer shall operate under the direct supervision and direction of the Head or the Account Manager, and shall report the movement of the Fund from daily income and expenses.
2 - Receipt of cash and checks for depositing it daily in the accounts of the institution with banks as required by the accounting system.
3- Preparation of the movement of receipts and daily payments in a statement approved by the head or the account officer, accompanied by all supporting documents of revenues and expenses and notices of revenue supply to banks where they are reviewed before they are registered with records and books.
4. Receiving and disbursing the permanent advance according to the instructions.
5 - keeping documents for collection and expenses in special files regularly and properly.
6 - Delivery of salaries to the employees of the institution.
7. To carry out the tasks assigned to him in the field of competence.
Requirements:
Experience in the field
Carrying work pressure in stone factories
Proficiency in English speaking and writing
Language requirements:
English-fluent
Employment type:
Full Time
Salary Range:
3,000 S.R.
Benefits and Other Informations:
- medical insurance
- Residence
- Weekly leave on Friday