← All Positions
Posted Apr 1, 2026

Senior Associate - Centralized Payment

Apply Now

Job Purpose

Responsible for accounting of the below mentioned companies including staff payments, vendor payments and monthly financial reporting along with FA Addition & Flexposting. Recording of expenses of all these subsidiaries on the basis of nature of expense through Fusion Oracle HRMS, Oracle AP and Oracle GL. Similarly preparing the payment of Telecommunication lines including Scheduled and Non-Scheduled bills on monthly basis.

 

Key Result Areas

  1. Accounting and payment of MB AP & Subsidiaries Staff reimbursement/claim & Vendor invoices

  2. Processing of Staff monthly allowances, salary, rewards, incentive, etc in HRMS system & preparation of monthly reconciliation and financials.

  3. Addition, Retirement, Deletion along with monthly reporting part of Fixed Asset.

  4. Receive the staff and vendor payments for all the subsidiaries from various departments and scan and index the payments documents on timely basis in EDMS processing queue.

  5. Prepare the End of Service settlement for the resigned/terminated staff and prepare the settlement of outstanding liabilities as per the HR instructions.

  6. Posting of all the vouchers in iFLEX, generated by payments section including Mashreqbank AP, HRMS and all subsidiaries

  7. Prepare contra for all AP/HRMS related payments on daily basis.

  8. Support the and resolve the queries from the staff related payment  variances and discrepancies.

  9. Prepare Injaz IFRS Report on monthly basis including Quarterly Performa Reports for ongoing submission to MIS Report.

  10. Review the bank reconciliation of Injaz and settle the outstanding entries before the monthly billing and closing process.

  11. Assist the team leader for final audit of all subsidiaries by providing the required data and supporting documents as per audit requirements.

  12. Provide support and assistance to the team related to the day to day payments and monthly reporting activities.

  13. Perform UAT on regular basis for all HRMS/AP changes and amendments in the Oracle system for Mashreqbank and all subsidiaries.

  14. Prepare DU Etisalat payment with due control, allocate correctly to business groups and maintain all records related to the process.

  15. Create Bonus Provisions and VAT voucher transactions.

  16. Pass payments and transactions related to MB , Idfaa and Injaaz.

  17. Access Review of systems and drives for entire unit.

  18. Branch balancing of Flex vs Oracle for all entities.

  19. Post all the vouchers generated by Mashreqbank Qatar AP/HRMS in IFLEX and prepare contra to the Branch Accounting unit for reconciliation.

  20. Perform as back up for Mashreqbank/Idfaa/Injaaz AP and HRMS payments related activities.

Operating Environment, Framework and Boundaries, Working Relationships:

 

Problem Solving:

 

 

Decision Making Authority & Responsibility:

Knowledge, Skills and Experience:

Apply Now