Job Details
Skills And Tools:
Job Description
- Managing & reviewing all accounting transactions, with the Responsibility of generating financial statements and Preparing Tax reports.
- Receive & review reports delivered from the accounting team (AR, AP, GL, and Treasury reports).
- Preparing reports with all accounting activities' status to the finance manager or top management.
- Ensure the deployment & effectiveness of the accounting system.
- Responsible for generating financial statements.
- Responsible for preparing tax clearance.
- Responsible for the bank's reconciliation.
- Coordinate with auditing offices for any required documents.
- Analyze the cash flow & prepare reports to the finance manager and top management with cash flow status.
- Control the cash flow by reviewing invoices & account statements.
- Manage the monthly closing.
- Handling any related disputes with departments and external entities.
Job Requirements
- 10-15 years of experience
- Fluent English language
- CMA Holder ( Preferred )