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Assist with daily accounting tasks including journal entries and general ledger postings
Perform bank and account reconciliations
Support accounts payable and accounts receivable functions
Help prepare monthly financial reports and assist with month-end closing
Maintain organized and up-to-date financial records
Assist in processing invoices, expense reports, and payments
Support internal and external audits as needed
Ensure compliance with company policies and accounting standards
Provide administrative support to the finance team as required
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