The incumbent in this position is responsible to ensure validity and accuracy of all invoices, their appropriate allocation and timely payments.
- To communicate with department heads/purchasing department/cost controller and creditors/suppliers for any clarification and to answer creditors’ queries relating to invoices.
- To ensure creditors are paid promptly and professionally.
- To verify the accuracy of all invoices being posted and accuracy of accounts allocation.
- To supervise validity of the contracts before payments are processed against them.
- To check and approve all issued cheques before passing the same to Financial Controller for signature.
- To ensure that all creditor files are properly maintained for future references and that all the invoices are original, supported by proper documents and approved by department heads before payment processing.
- To accrue all expenses occurred during the month in the month-end closure if invoices have not yet been received.
- To print and file all reports at the month end as per the company’s policies and procedures.
- To balance all inventories with Cost Control at the month-end closing.
- To ensure that any correction made after the closing pertaining to previous month should be through Journal Voucher only and approved by Financial Controller.
- To reconcile advance payment to supplier account to file them on monthly basis and copies to be distributed accordingly.
- To follow up on all outgoing and incoming documents.
- To ensure that all the suppliers’ accounts are up to date in terms of payments.
- To ensure in corporation with the Assistant Controller that all payments stay within the frame of the beforehand established liquidity forecast.
- To understand and strictly adhere to the Hotel’s Employee rules & regulations.
- To report for duty punctually wearing the correct uniform and name tag at all times.
Skills
Omani Nationals Only