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Senior Accountant

Motorsports hub
Smart Village, Giza
Posted 2 years ago
376Applicants for1 open position
  • 280Viewed
  • 52In Consideration
  • 209Not Selected
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Job Details

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Job Description

  • Manages and coordinates company's financial function including general accounting, cost management, budgeting, and Taxation in accordance with corporate policies and procedures to meet company’s business requirements.
  • Implements and administers established accounting and controlling policies, procedures, and practices to meet finance requirements supporting short and long-term business needs.
  • Plan the company cash flow needs according to business plan with optimized financial cost to develop and support short and long term investment strategies
  • Direct and participate in formal meetings with bank directors to discuss business needs “Letter of guarantee, payroll, visa card, car loans, Loans   ……. etc.
  • Evaluate external economic trends, including effects of government legislation and also review, analyze new, proposed, or revised laws, regulations, policies to determine their impact on our business and to recommend appropriate investment decisions as per the findings
  • Examine, evaluate, check maintenance of the organization's general ledger and related accounting practices, including payables, receivables, and adjusting entries……. etc. to ensure an accurate profit and loss result
  • Manages bank relationships including banking activities reporting (bank balances and service fees, bank rates) to fund business activities in a manner consistent with company’s business objectives.
  • Serves as principal contact for negotiations with the External parties “External Auditors, Tax consultant, ……etc. for the accurateness of the balance sheet and the compliance of the organization’s practices with applicable legislation and tax authorities
  • Ensures accurate and timely recording and reporting of operating results

Job Requirements

  • Implements and administers established accounting and controlling policies, procedures, and practices to meet finance requirements supporting short and long-term business needs. 
  • Plan the company cash flow needs according to business plan with optimized financial cost to develop and support short and long term investment strategies 
  • Direct and participate in formal meetings with bank directors to discuss business needs “Letter of guarantee, payroll, visa card, car loans, Loans   ……. etc. 
  • Evaluate external economic trends, including effects of government legislation and also review, analyze new, proposed, or revised laws, regulations, policies to determine their impact on our business and to recommend appropriate investment decisions as per the findings
  • Examine, evaluate, check maintenance of the organization's general ledger and related accounting practices, including payables, receivables, and adjusting entries……. etc. to ensure an accurate profit and loss result 
  • Manages bank relationships including banking activities reporting (bank balances and service fees, bank rates) to fund business activities in a manner consistent with company’s business objectives.
  • Serves as principal contact for negotiations with the External parties “External Auditors, Tax consultant, ……etc. for the accurateness of the balance sheet and the compliance of the organization’s practices with applicable legislation and tax authorities 
  • Ensures accurate and timely recording and reporting of operating results

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