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Job Description
- Record financial transactions by Journal - bookkeeping on the system ( asset, liability, Revenue & expenses) on a daily basis.
- Prepare a trial balance and required reports on a monthly basis.
- Prepare reconciliation between banks, treasury, and books on a daily basis.
- Prepare tax returns for the audit office on a monthly basis.
- Follow -up and monitor customers' collections and suppliers' payments on a daily basis.
Job Requirements
- Great attention to detail.
- Able to maintain confidentiality.
- Advanced knowledge of Excel and various accounting software programs.
- Strong computer skills.
- Good communication and soft skills.
- Excellent organizing abilities.