Accountant
Hindawi -
Nasr City, CairoPosted 9 years ago360Applicants for1 open position
- 127Viewed
- 4In Consideration
- 46Not Selected
Job Details
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Job Description
- Receive and revise the invoices and the documents to guarantee the accuracy of the data
- Revise the custodies documents, handle the custodies settlement cheques and analyze it to illustrate expenses
- Issue payable cheques according to their terms and payments,record them in a cheques report and perform cheque-runs to guarantee their approval
- Process different bank transfers and settle the transfers invoices to finalize the company’s liabilities
- Prepare Journal entries for the suppliers’ invoices, bank transactions and custodies settlements in addition to preparing proper documentation for them to facilitate the auditing process
- Perform bank reconciliation to assure that the balances of the accounts on our system are equivalent to the balances of the bank accounts
- Handle the vendors inquiries regarding any pending payment and review the vendors’ accounts periodically to assure the accuracy of the payment processes
- Prepare Form 41 to pay the withholding taxes deducted from the suppliers
- Review the different payable accounts monthly to assist in finalizing the monthly financial reports
- Follow up on the prepaid accounts to check the expenses and the remaining amounts
- Handle the petty cash payments to facilitate workflow
Job Requirements
- Bachelor’s degree in Accounting
- Excellent command of both written and spoken English
- 1-2 years of related experience
- Knowledge in any accounting system is a plus