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Job Description
- Preparation of monthly and quarterly accounting reports.
- Analyzing financial statements to ensure accuracy and compliance with generally accepted accounting practices.
- Identifying potential cash flow problems and financial irregularities.
- Liaising with department heads to ensure that each department remains within budget.
- Accurately preparing tax returns and ensuring that company taxes are paid in a timely manner.
- Oversee daily transactions, including accounts payable/receivable, general ledger and bank reconciliations
- Performing reconciliations of general ledger accounts.
- Providing regular updates to management regarding company finances.
- Ensuring that the company maintains compliance with accounting legislation.
Job Requirements
- 5-7 Years of Experience in the finance Field
- Ability to work with minimal supervision
- willingness to work in Start-up
- Experience with accounting software.
- Strong computer skills, MS Excel in particular (managing spreadsheets, creating charts and using advanced formulas)
- Solid knowledge of bookkeeping and accounting principles, laws and regulations
- Excellent analytical skills to manage large amounts of data
- BS degree in Accounting or Finance
- Very Good - Excellent English.
- Accounting certification (e.g. CMA or CPA) is a plus
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