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Job Description
Join Our Team as a General Accountant
Position Overview:
- Provide professional financial analysis, advice, and recommendations on complex financial issues.
- Maintain detailed costs and expenditures in the company's financial system.
- Support operations and sales with cost and pricing analysis.
- Improve pricing and invoicing processes, ensuring deal profitability and risk are clearly communicated.
- Support and maintain local customer pricing models and agreements.
- Retain precise records of payments, including arranging payments, verifying accounts, and researching financial activity.
- Maintain accurate financial bookkeeping and records.
Job Requirements
- Key Responsibilities:
- Prepare financial statements.
- Perform monthly balance sheet, income statement, and budget variance analyses with the authorized auditor.
- Assist in budget design and preparation for management review.
- Maintain and reconcile fixed assets schedules and inventory every 6 months.
- Issue monthly invoices and task orders on the system.
- Assist in issuing quotes to local clients and prepare internal cost audits.
- Comply with Tax & VAT regulations and assist in audits.
- Conduct detailed checks on mission reports and vehicle invoices.
- Prepare standard periodic financial reports such as cost reports and balance sheets.
- Facilitate pricing development, approval, implementation, and upkeep for local markets/projects.
- Analyse and provide recommendations on pricing strategy to maximize profit.
- Ensure accurate representation of roles and rates in pricing tools.
- Enforce margin approval processes and support sales teams as needed.
- Reconcile sub-ledger to general ledger account balances.
- Manage accounts payable and receivable, handle cash expenditures, and maintain accounting journals.
- Ensure all accounting activities comply with legislation and governmental laws.
- Assist in consolidating balance sheets and profit and loss statements.
- Develop non-standard reports as required.
- Draft segments of statements and reports and assure adequate documentation.
- Prepare commentary on report items and supply or explain data as needed.
- Manage company treasury, ensure alignment between treasury amounts and financial accounts.
- Handle cash custody for drivers and proceed with daily registration and settlement.
Apply Today! Be a key player in our financial success and help us achieve our goals.
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