للتقدم للوظيفة : رابط الوظيفة من هنا.
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Record and review daily branch financial transactions (sales, returns, expenses).
Perform daily cash reconciliation and ensure accuracy of cash and POS balances.
Monitor gold and inventory movement in coordination with store management.
Prepare daily, weekly, and monthly financial reports for Head Office.
Verify invoices, expenses, and supporting documents before submission.
Ensure compliance with internal financial controls and company policies.
Coordinate with Finance Department regarding payments, settlements, and discrepancies.
Support periodic inventory counts and stock reconciliation processes.
Monitor branch expenses and ensure alignment with approved budgets.
Maintain proper documentation and organized financial records.
Assist in preparing data for internal and external audits.
Ensure full adherence to financial procedures within the gold retail environment.
Bachelor’s degree in Accounting, Commerce, or related field.
1–3 years of experience in accounting (retail or branch accounting preferred).
Experience in handling daily cash, reconciliations, and POS systems.
Strong knowledge of accounting principles and financial reporting.
High level of accuracy and attention to detail (especially important in gold industry).
Good command of MS Excel and accounting systems.
Strong analytical and problem-solving skills.
Ability to work under pressure and meet reporting deadlines.
High integrity and confidentiality.
Candidates must reside in or be willing to work in:
Mansoura – Tanta – Alexandria – New Cairo – Sheikh Zayed-Fayoum