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Job Description
- Preparing and maintaining financial reports.
- Ensuring the accuracy of financial documents and their compliance with regulations and laws.
- Preparing tax returns and ensuring that they are paid correctly on the specified dates.
- Analyze financial risks and provide solutions.
- Evaluate financial operations, identify problems, and suggest strategies to solve any problem.
- Ensure financial records comply with laws and regulations.
- Review financial statements, reports, and documents and ensure their accuracy.
- Conduct annual audits.
- Helping companies make financial decisions and reconcile banking statements.
- Enhance data confidentiality and maintain database backups.
- Comply with financial policies and regulations while performing his job duties.
- Open bank accounts and manage cash flow.
- Developing accounting policies with the participation of managers or stakeholders in accordance with regulatory requirements.
- Providing recommendations and suggestions regarding business plans and accounting systems.
- Examining the income and expenses of the company or institution.
- Reconciling bank and payroll account statements to maintain the company's financial position.
Job Requirements
- Work experience as an Accountant (treasury) is a must
- Work experience as an Accountant (taxes) is a must
- Hands-on experience with accounting software.
- Advanced MS Excel skills including V-lookups and pivot tables
- Experience with general ledger functions
- Strong attention to detail and good analytical skills
- BSc in Accounting, Finance or relevant degree
- Additional certification (CPA or CMA) is a plus