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Key Responsibilities & Duties:
Journal Entries Management: Accurately record and review all daily financial transactions and accounting entries into the accounting system.
Accounts Receivable & Payable (AR/AP): Monitor customer balances and collections, review supplier dues, and schedule payments.
Bank Reconciliations: Perform regular bank reconciliations and track cash flow (cash on hand and bank accounts).
Inventory Control: Monitor warehouse movements and evaluate inventory in coordination with warehouse personnel to ensure matching between actual and book balances (in line with trading agency operations).
Financial Reporting: Prepare periodic financial reports and trial balances, and assist in closing activities under the supervision of the Finance Manager.
???? Requirements & Qualifications:
Education: Bachelor’s degree in Commerce (Accounting major).
Experience: 0 to 1 years of experience in financial accounting (prior experience in trading, distribution, or commercial agencies is preferred).
Technical Skills:
Advanced proficiency in MS Excel.
Familiarity or prior experience with accounting software or ERP systems.
Professional Knowledge: Solid understanding of financial accounting principles, accounting standards, documentation cycles, and Egyptian tax laws.
Language: Good command of the English language.
Soft Skills: High accuracy, strong attention to detail, professional integrity, and the ability to work under pressure and manage time effectively.