للتقدم للوظيفة : رابط الوظيفة من هنا.
_______________________________________
Prepare daily bank & cash reconciliation journal entries
Prepare monthly reconciliation for the accounts while detailing the general ledger balances, discrepancies and adjusting necessary transactions with appropriate corrections accounting records
Prepare commission calculations, freight tax calculation and post journals
Prepare and input other adjusting, monthly and recurring journal entries
Matching of open Lines
Prepare monthly P&L Analysis and provide analyses and comments on the Variance
Provide assistance in uploading budget
Deliver monthly financial report using given consolidation tools
Close ledgers and report the trial balance for consolidation
Prepare withholding tax reports
Support in both internal & external audits in matters of compliance
Maintenance of various accounting areas
أظهر المزيد