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Job Description
- Preparing financial analyses and reports.
- Calculating taxes related to financial transactions, deducting them from the supplier, and sending them to the tax authority.
- Receive & Document cash and checks.
- Preparing financial analyses and reports.
- Making letters of guarantee.
- Excellent in banking and foreign transfers..
- Disburse cash according to requests received as per procedures.
- Maintain sufficient documentation of each expenditure.
- Update the running cash balance.
Job Requirements
- Bachelor's degree in the same field
- Good understanding of accounting and financial reporting principles and practices
- experience 2:4 years in accounting
- Experience with general ledger functions and the month-end/year-end close process
- Strong attention to detail and good analytical skills
- Good in English