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Job Description
- Carry out General ledger analysis with related FS disclosures.
- Bank reconciliation.
- Submit monthly PDC (Postdated checks), CPS, and LG’s (Letter of guarantees) reconciliations.
- Ensure accurate Fixed assets depreciation & its related disclosure.
- Maintain regular banks clearing, outstanding investigations & follow up.
- Contribute to internal controls’ requirements and effective PAC (priority accounting controls, KPI) including its analysis & outstanding follow up.
- Contribute to accounting procedure updates.
- Petty cash recording and general ledger adjustments recording and filing.
- Apply & implement the Anti-corruption, Antitrust Compliance and Integrity Policies and Program.
- Implement the required process of due diligence within my area of responsibility.
- Contribute to the fixed assets count project.
Job Requirements
- BSc or MSc in Accounting or Finance.
- Proven knowledge of bookkeeping and accounting principles, practices, and tax regulations.
- Ability to manipulate large amounts of data.
- Outstanding presentation, reporting and communication skills.
- Working knowledge of MS Office and financial management software (SAP).
- Excellent communication and interpersonal skills.
- Fluent in English language.
- Proficient in spreadsheets, databases, MS Office, and financial software applications.