وظائف نون – وظيفة محاسبة جديدة في شركة Noon العملاقة الوظيفة في قسم التسويات المحاسبية
Work Type : Full Time
Experience : 0-3 Years
Gender : male and female
Salary: not mentioned
Salary Type : Net Salary
Location: Cairo EG
About the job
Reconciliation Executive – Daily
Reports to Category Manager , Daily
Location: Smart Village, Cairo, Egypt
noon.com is a technology leader with a simple mission: to be the best place to buy and sell things. In doing this we hope to accelerate the digital economy of the Middle East, empowering regional talent and businesses to meet the full range of consumers online needs.
noon operates without boundaries; we are aggressively and voraciously ambitious. Starting in 2017 with noon.com, the region homegrown e-commerce platform and leading online shopping destination, noon is now a digital ecosystem of products and services – noon, noon Daily, noon Food, NowNow, SIVVI, noon VIP, and noon Pay.
We are creating the Middle East local digital champion and are looking for world-class talent to join our team.
Who will excel?
We are looking for candidates who thrive in a fast-paced, dynamic start-up environment. We are searching for problem solvers, people who operate with a bias for action and have a deep understanding of the importance of resourcefulness over reliance.
Candor is our only default. Demanding unequivocal high standards should be non-negotiable because quality matters. We want people who are radically candid, cohorts who commit to settling for nothing but the best – in hiring, in accepting work from colleagues, and in your own work.
Ours is not an easy mission, but it is a meaningful one. Every hire must actively raise the bar of talent in the company to help us reach our vision.
Is this you?
About the role
The reconciliation executive role is part of the Daily category, the selected candidate will be handling the payments reconciliation, keeping track of payments and making sure our ledgers reflect the correct transactions.
Reconciling payments to ensure the accounting system reflects the correct transactions
General ledger reconciliations
Account reconciliations such as bank, inventory control, clearing, billings etc.
Issue receipts to customers on receipt of payments
Performing daily financial transactions such as verifying, calculating and posting accounts receivable data
Supporting the month end process
Generating month end reports
Experience reconciling accounting figures and financial records
Ability to identify errors
High level of attention to detail
Excellent written and verbal communication skillsIntermediate to advanced computer software skills, including Excel
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