ए
- अनुभव
- कोणतेही
- पगार
- —
- रिक्त जागा
- 1
- पोस्ट केले
- २ तासांपूर्वी
- Work mode
- कार्यालयात
- Eligibility
- Applicants who can work full time on-site in Doha, Qatar and manage the accounting responsibilities described for this role.
- Resume
- Required to apply
Where you'll work
नोकरीचे वर्णन
Role Overview
Al Mana Leasing is seeking a General Accountant in Doha, Qatar to manage core accounting activities across collections, petty cash, payables, reconciliations, and period-end support. The role requires close coordination with internal teams and careful handling of financial records, supporting documentation, and control procedures.
Cash Collection Management
- Accept and log customer payments made by cash, cheque, bank transfer, and POS.
- Match and reconcile daily collections across cash, POS, and cheque receipts.
- Follow up on overdue customer balances when needed.
- Prepare and issue customer statements of account on a monthly basis and whenever required.
- Handle customer questions related to balances, invoices, and payment status.
Workshop Float and Petty Cash Administration
- Oversee petty cash funds and related controls.
- Check, approve, and release payments in line with company policy after verifying claims and supporting documents.
- Prepare monthly petty cash reimbursement requests and record the related accounting entries.
Accounts Payable
- Review, enter, and post supplier invoices in the Adler system.
- Confirm that invoices are properly supported and authorized before posting.
- Keep supplier balances and records accurate and up to date.
- Assign freight and logistics expenses to the correct inventory categories, including spare parts and finished goods.
- Apply the correct accounting treatment and cost allocation.
- Collect supplier invoices and supporting papers and send them to Head Office each week for payment processing.
Workshop and Spare Parts Coordination
- Work with the Workshop and Spare Parts teams on invoicing, job orders, inventory movements, and cost allocation.
- Support the resolution of discrepancies involving customer transactions.
Reconciliations
- Carry out reconciliations for customer accounts, workshop float, and petty cash.
- Keep accounting files and backup documents well organized.
- Ensure work follows company policies and internal control standards.
Month-End and Year-End Support
- Assist with month-end and year-end close activities, including inventory aging and receivables aging.
- Provide support for internal and external audit requirements.
- Handle additional accounting and administrative duties assigned by management.