Job Details
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Job Description
- Bank reconciliation processing – monthly wise.
- Verifying foreigner’s salaries and settlements and any other issues related.
- Verifying payments through cheques & bank transfer
- Allocate fund - receivable as per requirements.
- Follow up bank/cash work with the team if needed.
- Helping in handling balance sheet with auditors.
- Preparing MIS (Management information system) reports as per requirements.
Job Requirements
- Member of the Egyptian society of accounting