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Job Description
- Document financial transactions by entering account information
- Profit and loss statement and other reports
- Substantiate financial transactions by auditing documents
- Follow customers and suppliers and update speed Verify, allocate, post and reconcile transactions
- Support month-end and year-end close process
- Communicate effectively with clients
- Warehouse and Dealing with banks
Job Requirements
- Knowledge of basic accounting procedures and principles
- Awareness of business trends
- Knowledge of general ledger functions and the month-end/year end close process
- Accuracy and attention to detail
- Treasury keeping and Cash exchange from banks
- Experience in Warehouse Management
- Experience in Dealing with banks
- Good computer skills Expert at (MS Office Especially Excel)
- Very Good command of both written and spoken English.
- BSc in Accounting or equivalent
- Experience: 2-4 years