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Job Description
- Revenue recording and verification.
- Bank reconciliations and resolving discrepancies.
- Inventory control and reconciliation.
- Maintaining the fixed asset register, recording acquisitions/disposals, and posting depreciation.
- Preparing actual vs. budget variance reports.
- Managing the petty cash cycle, including disbursements and reconciliations.
- Recording treasury transactions, including cash inflows/outflows.
Job Requirements
- Bachelor’s degree in accounting or finance.
- Strong MS Excel skills.
- Experience with ERP systems preferred.
- Attention to detail, accuracy, and ability to meet deadlines.
- Good communication and organizational skills.
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