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Job Description
Main Duties:
- Manage cash & bank transactions
- Record journal entries on a daily basis
- Follow up the operations expenses payments
- Issue sales invoices and follow up collections
- Prepare withholding tax report on time manner
- Produce monthly reports (AR, AP & overheads)
- Payroll logistics & related transactions
- Support in preparing the financial statements on quarterly basis
- Preparing budgets and forecasts
- Budget follow up (actual vs. planned)
- Analyzing financial statements
- Prepare special reports by collecting, analyzing, and summarizing information and trends
Job Requirements
- Bachelor degree in Accounting
- 3-5 years of experience in accounting and Finance
- Good experience in budgeting and cash flow management is a must
- Good knowledge of Excel
- Acceptable communication skills
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