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Job Description
- Manage daily financial transactions, journals and petty cash
- Support the relation with tax auditors and government authorities
- Develop annually, quarterly, monthly & weekly financial plans
- Perform periodical follow up with team members
- Gather and consolidate timely reports from team members
- Analyze financials and deliver reports to management
- Manage the stock and perform stock controls
- Manage cash in-flows and outflows
- Manage suppliers accounts periodically
- Develop periodical clients account balances
- Keep administration and human resources files
Job Requirements
- University Degree in Accounting.
- 2-3 years' experience in similar position.
- Excellent analytical skills.
- Self-motivated, dynamic, flexible and presentable.
- Has team spirit and is a team player.
- Good communication and negotiation skills.
- Good command of English both written and spoken.
- Excellent use of Microsoft Office.