Offers “Accor”

28 days agoAccor

Accounts Payable Officer

  • Ras Al-Khaimah, UNITED ARAB EMIRATES

Job description

Company Description

Sofitel Al Hamra Beach Resort

Job Description

·  Provide a summary of the ageing report required by various people in the Accounting and Control Department to prepare monthly reports
·  To understand Sofitel objectives in managing Account Payable Function so as to
·  provide an effective system to track Accounts Payable for effective Cash Flow management
·  Ensure loyalty of key suppliers of the hotel, resulting in lower cost per unit.
·  To obtain, date-stamp and file all documents which support authorized purchases and services rendered (PR’s, PO’s, Delivery Notes, signed Receiving Records, Contracts etc.) for future matching to invoices.
·  To process daily invoices, that is, to match them to their supporting authorizations and receiving records.
·  To check all the petty cash vouchers for validity and accuracy and to process for payment.
·  To record all the petty cash vouchers and to post them timely and accurately into the computer system.
·  To prepare account allocation of all petty cash vouchers.
·  To control and to reimburse timely the General Cashier funds.
·  To file all the paid petty cash vouchers properly for future reference.
·  To batch invoices, obtain department head approval and book them to the appropriate account and departments.
·   To review and determine all payments due and to submit the payment requests and disbursement schedule to the Finance Manager for review and signature prior to the actual preparation of cheques.
·  To prepare cheque payments and submit them, with their supports attached, for final approval and signatures by the Director of Finance and General Manager.
·  To raise and record cheques for urgent payments.
·  To prepare monthly accruals for goods and services received, but not invoiced.
·  To prepare monthly accruals for any major commitments.
·  To check and ensure that the books and records are updated accurately and timely.
·  To co-operate and assist in reconciling the month-end inventory book balances to actual physical counts.
·  To prepare month-end closing of Accounts Payable.
·  To prepare and follow up on some balance sheet schedules as instructed including all the advanced payments.

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