Description:
Key Responsibilities
Cash Handling & Reconciliation — Process daily transactions, reconcile collections & ensure accuracy
Collect cash/card sales, sort collections & tally with POS sales
Deposit funds at designated locations/banks as per Finance guidelines
Prepare cash deposit summaries with confirmation signatures
Manage petty cash issuance, reporting & control
Enter data & book journal entries in ERP systems
Perform bank account reconciliations & maintain financial records
File deposit slips, receipts, bank mandates & related documents
Interact professionally with passengers, airport staff, duty managers & bank personnel
Ensure no credit is extended without Finance‑approved authorization
Prepare daily & monthly closing reports
Issue floats to staff & report excess/shortages daily
Support additional departmental duties as assigned
🔹 Qualifications
High School qualification with 1 year of job‑related experience
or
Bachelor’s Degree with no prior experience required
Excellent written & spoken English
Strong focus on deadlines
Willingness to learn treasury operations
🔹 Preferred
3 years job‑related experience
Bachelor’s Degree in Finance, Accounting, or Business Administration
Interest in treasury operations & banking activities
General knowledge of financial & capital markets
| Organization | Kokan Trading Contracting Services |
| Industry | Accounting / Finance / Audit Jobs |
| Occupational Category | Finance Assistant |
| Job Location | Doha,Qatar |
| Shift Type | Morning |
| Job Type | Full Time |
| Gender | No Preference |
| Career Level | Experienced Professional |
| Experience | 3 Years |
| Posted at | 2026-08-12 6:03 pm |
| Expires on | 2026-11-10 |