Accountant

Accounts Payable (AP)

  • Record and post AP entries into the accounting system.
  • Monitor supplier statements, reconcile vendor accounts, identify discrepancies.
  • Prepare and maintain AP aging reports (trade & non-trade), down payments, pre-payments, notes payable etc.
  • Ensure proper tax deduction/withholding at source (WHT) on supplier payments, and reflect that correctly in the ledger.
  • handle  accounting for imported consignments — allocation of landed cost (invoice + freight + customs & taxes) and proper posting to inventory or expense accounts.”
  • Archive supplier payment records in compliance with company policies.

 

Banking

  • Recording all bank transactions On a timely basis,
  • Reconcile monthly (or more frequent) bank statements .
  • Monitor bank charges, overdrafts, interest, foreign exchange differences and ensure correct posting.

 

Tax Compliance

  • Solid experience in managing VAT obligations (filing, validation and reconciliation),
  • Correctly calculating and remitting withholding taxes, and ensuring full compliance with payroll tax regulations under Egyptian tax laws.

 

General accounting

  • Support month-end & year end) closing process: accruals, pre-payments, expense recognition, GL reconciliations, journal entries.
  • Prepare supporting schedules (e.g., AP ageing, bank reconciliation, vendor balances) and ensure completeness of data before closing.
  • Use (Quick box ) and Excel for reporting and analysis.

Bachelor’s degree in Accounting,Proven experience in contracting companyPreferably 3-5 years of experience in accounting roles covering AP, bank reconciliation, tax and monthly closing in Egypt.Experience with Quick box is a must.Excellent in using excel and data analysis 
تاريخ النشر: اليوم
الناشر: Wuzzuf .com
تاريخ النشر: اليوم
الناشر: Wuzzuf .com