Accounts payable supervisor
DubaiAccor
...agree and reconcile subsidiary accounts payable ledger to general ledger control total on a daily basis To perform Supplier’s Statement reconciliation to accounts payable subsidiary ledger on a monthly basis To produce Proposed Payment Schedules by the 10th and 20th working day monthly to the Financial [...]
Job Type: Full-time
Category Banking, Insurance, Finance & Accountancy / Sector Accounting, Finance and Management Control