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Job Description
- Maintain general ledger and preparing journal entries through creating account payable, fixed Assets, cost center allocation, and coding invoices to ensure accuracy of accounting data.
- Reconcile monthly bank statements through verifying all deposits, and handle discrepancies to ensure accuracy of cash flow.
- Assist on performing financial analysis through analyzing data of revenue and expenses to ensure expenditures are controlled within the limits of the company’s business plan
- Monitor Financial system through accurate and on time filling financial data to ensure validity of information on the systems.
- Assist in coordinating the company's annual audit with its external auditors through preparation of disclosures and variance analysis to ensure accuracy of information presented.
- Create related reports on Periodical basis through tracking, measuring, monitoring performance to provide performance tracking and take decision on improvement opportunities
Job Requirements
- +6 months experience.
- Bachelor’s Degree in accounting is a Must
- Good Command of English.
- IT Skills: MS Office
- Research Skills, Analyzing Information, Attention to Detail, Deadline-Oriented, Confidentiality, Thoroughness, Corporate Finance, Financial Software.