Job Details
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Job Description
- Issue invoices, Send it soft & Hard copies to customers
- Follow up the customers’ balances.
- Bank reconciliation statement.
- Prepare & Record daily Transactions.
- Prepare Taxes ( VAT , Withholding Tax , Payroll Tax & Insurance)
- Maintain organized filing system.
- Prepare Cash & Bank Vouchers
- Revise Cash Balance Daily
- Responsible for the safe box.
- Manage Cash & Bank receipt and payment postings.
- Make daily entries.
- Maintain organized filing system.
- Bank reconciliation statement.
Job Requirements
Education:
- Bachelor Degree in Commerce - English Section.
Experience:
- From 0 to 1 year of experience.
Preferred Skills:
- Numerical skills
- Time Management
- Confidentiality
- Accuracy and attention to detail
- Reporting Skills
- Ability to accurately prepare daily, weekly, monthly, quarterly and annual reports.
- Data Entry Management
- Excellent written and verbal communication skills.