Job Description

Overview:To carry out day today financial accounting activities and bookkeeping functions under JD Edwards ERP system to provide error-free entries in the books of Accounts.Responsibilities:Verification: Verify statements on a daily basis and ensure that accounts with major banks and customers and suppliers reflect transactions properly and provide support to Credit control especially on realization of cheques as and when necessary confirming that no irregularities are in place. Reconciliation: Reconcile Accounts with customers and suppliers whenever required and with all banks monthly in the prescribed format & pass entries if necessary to ensure that there are no improper transactions and that all entries are appropriately accounted. JDE entries: ensure that all delegated pre-coded vouchers are entered in the JDE system daily in order to have an on-line GL and other modules. D/Ns, C/Ns and Allocations: Allocation of Receipts and Payments including those of suppliers and raising/entering/checking DNs and CNs under Suppliers’ payables and Customers’ receivables in order to ensure that all payments and related transactions are properly recorded in JDE system.Qualifications:Bachelor's Degree in Accounting or any related field.Minimum 1-year Iraq experience in general accounting field.Iraq Market Experience is a must.English Language proficiency.Microsoft Excel.

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