-Managing & reviewing all accounting transactions, with the Responsibility of generating financial statements and Preparing Tax reports.
-Receive & review reports delivered from the accounting team (AR, AP, Treasury reports).
-Preparing reports with all accounting activities' status to the finance manager or top management.
-Ensure the deployment & effectiveness of the accounting system.
-Ensure the abidance of the team with assigned tasks, KPIs, policies & procedures.
-Responsible for generating financial statements.
-Responsible for preparing tax clearance.
-Responsible for the bank's reconciliation.
-Coordinate with auditing offices for any required documents.
-Analyze the cash flow & prepare reports to the finance manager and top management with cash flow status.
-Control the cash flow by reviewing invoices & account statements.
-Manage the monthly closing.
-Handling any related disputes with departments and external entities
-Protect organization's value by keeping information confidential.
Bachelor's degree in finance or accountingCMA or CPA is preferred.High technical skills (accounting principles, Microsoft applications, ERP systems and audit and tax regulations) Action orientedAttention to detailsMotivating othersCommunication skills (verbal and writing)