للتقدم للوظيفة : رابط الوظيفة من هنا.
_______________________________________
الوصف الوظيفي
Required Language
English
Employment Type
Full time
Contract Type
Permanent
Description
Job Description
The ideal candidate will have strong organizational skills and have an ability to accurately track and record cash flow. This candidate should have experience in analyzing financial information and preparing financial reports to determine or maintain a record of assets liabilities profit and loss tax liability ERP Software Implementation Experience and other financial activities within the organization.
Responsibilities
- Monthly preparation and analysis for all Balance Sheet accounts Cash Flow and P&L accounts by cost centers and submitting them to the Finance Manager.
- Oversee and execute daily transactions including accounts payable/receivable general ledger and bank reconciliations
- Responsible for verifying all accounting entries and making sure that the accounting system is
completely controlled.
- Review taxes reports (VAT WHT) and finalize all related inspections with the Tax Authority
- Participate in regular tax audits and payroll
- Prepare expense reports
- Perform monthend accounting activities such as reconciliations and journal entries.
- Organize financial data into useable information and maintain updated records
- Track the progress of financial and accounting objectives
- Establish accounting policies and procedures aligned with the companys targets
- Ensure compliance with the law
- Manage company cash flow through regular forecasting and reviews.
- Review monthly bank reconciliation.
- Preparing and keeping Petty Cash Transaction & Review It.
Job Requirements
EXPERIENCE KNOWLEDGE AND SKILLS REQUIRED
- BSc degree in Finance Accounting or Economics
- Advanced English level is a must (B1 to B2.
- 5 7 years of relevant experience
- Accounting certification (e.g. CMA or CPA) is a plus
- Solid knowledge of VAT WHT Payroll and Corporate Income tax laws and regulations
- ERP user SAP and Oracle is a must
- Ability to handle petty cash and expense report
- Experience with processing tax payments
- Proficient in Microsoft Office suite
- Familiarity with accounting software
- Strong organizational analytical and recording skills
- Attention to detail with an ability to spot numerical errors
أظهر المزيد