Responsible for liaising with trade customers to ensure payments are made in line with credit agreements.
To develop strong working relationships with our customers accounting representatives.
To check and verify customer statements.
To follow through variances between our calculated balance and our customers' balance on a monthly basis and take action to ensure all discrepancies are resolved.
To enter all necessary internal documentation into the system in line with company procedure.
To work on excel and other Microsoft Office products as necessary.
Team worker who is prepared to put in extra effort and hard work to achieve results.
Prepared to work overtime when necessary.
Confident in using computers, including MS Office (Excel).
Must be able to speak, read & write in Arabic and English.
Send Resume at: humanresources@utc.com.kw
To develop strong working relationships with our customers accounting representatives.
To check and verify customer statements.
To follow through variances between our calculated balance and our customers' balance on a monthly basis and take action to ensure all discrepancies are resolved.
To enter all necessary internal documentation into the system in line with company procedure.
To work on excel and other Microsoft Office products as necessary.
Team worker who is prepared to put in extra effort and hard work to achieve results.
Prepared to work overtime when necessary.
Confident in using computers, including MS Office (Excel).
Must be able to speak, read & write in Arabic and English.
Send Resume at: humanresources@utc.com.kw
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