6 13 Finance Administrator/Accountant

Finance Administrator/Accountant

Dautom

Updation of Financial details in Vendor Master in Orcale/Urbanise

1. Verifying the financial document like IBAN,SWIFT,TRN,Trade license etc received from

the Vendor and updating in Oracle and Urbanise to reflect expenses in appropriate GL

code and cost centres.

2. Update the Vendor Master in Oracle to set up to enable to make payments.

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3. Set up the Tax code/structure/Classification in Orcale /Urbanise

4. To assist on Finance request on difficulties faced in Payment processing

Problem solving

1. Coordinating with respective department on supporting documentation and resolve any

issue due to insufficient document or inaccurate information

2. Verifying and update bank reconciliation and provided by GL team information pertaining

to un-reconciled item. Cleared pending un-reconciled item of previous bank account

3. Interacting with IT team for various issues in regards to system issues.

4. Responding suppliers and business units queries on payment

Close and Reporting

1. Updation of Vendor Master

2. Prepare schedules any clarification require by internal & external auditors

3. Generating oracle report as required by various departments.

4. Supplier reconciliations for major suppliers

5. Assisting GL team in providing monthly payment details. Consolidation various cost to

make monthly management reporting

6. Payment details update to respective Business Units

To apply for this job please visit www.careers-page.com.


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