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Job Description
- Responsible for daily records, financial reports, payments and receivables, Invoices settlement and collection.
- Responsible for banking transactions, including (bank balance and outgoing checks and follow-up, etc).
- Responsible for issuance of invoices for companies upon request
- Reporting & Analysis of financial data.Summarize financial status by collecting information; preparing balance sheet, profit and loss, and other statements.Participate in financial standards setting and in the forecast process.
- Secure financial information by completing database backups.Processing payroll calculations in terms of netting or grossing salaries and processing incentives and / or deductions.
- Follow financial activities within the Treasury function on a daily basis, including financing, liquidity and cash flow management.
- Keep up with financial policies, regulation, and legislation.
- Review bank statements.
- Perform daily check-ups.
- File the accounting documents and enter the accounting
Job Requirements
- Bachelor degree in commerce, accounting major, or related field.
- Experience: (1- 2 years).
- Excellent organizing skills
- Good in the English language.
- Excellent in the use of MS office (Word, Excel).
- Good team player, positive attitude, detail and customer oriented with good multitasking and organizational ability
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