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Job Description
- Administering Hikma Egypt Accounts activities and ensuring that all related transactions are completed accurately and in a timely manner
- Resolving any accounting inconsistencies upon balances or reconciliations, and refer to the Accounting Manager in the abnormal cases
- Assisting in end-of-month closing by maintaining lists of Accounts Payable as well as the general ledger.
- Ensuring that expense reports are coded properly while preparing and approving vouchers for payment
- Following up on suppliers and vendors, and administering related accounts payments and reconciliations
- Supervising and contributing to the preparation of relevant Account Payables reports including Inter-companies reconciliations on daily, monthly, quarterly and on an annual basis, and ensuring they are prepared accurately and in a timely manner
- Executing verification procedure on all Accounts Payable financial reports and transactions
- Interacting with internal and external auditors and participating in period end audit by providing documents and materials as required.
Job Requirements
- B.A. degree in Accounting - English Section is a must.
- Skills: Cost Estimation & Analysis, Knowledge in Financial Accounting, Knowledge of Tax Law & Legislation, Cost Consciousness.