Audit Support
Scan, organize, and maintain audit documents in a systematic and accessible manner.
Assist in the preparation and execution of clients' financial audits.
Build and maintain internal auditing systems and ensure their accurate application.
Verify the accuracy and integrity of client financial information.
Support the audit team in preparing audit reports and statements for review by management.
Respond to client queries related to audits and provide timely resolution.
Accounting Support
Record bills, sales, and financial transactions for clients.
Assist in the preparation of payroll and overtime calculations for clients.
Export and compile financial reports as required.
Review and maintain accurate financial records and ensure proper documentation.
Tax and Compliance Assistance
Provide timely support to the tax team for client-related tax compliance needs.
Ensure all accounting, tax, and audit processes align with current legislation and best practices.
Assist with miscellaneous tasks related to tax, accounting, and auditing as required.
Document Management
Review scanned documents for accuracy and completeness.
Save clean, organized files on SharePoint for easy accessibility.
File and maintain documentation for audits, taxes, and client financial information.
Share relevant documents with the accounting and auditing teams.
Team Coordination
Act as a point of coordination between the main office and the Egypt team.
Provide administrative and technical support to ensure smooth communication and workflow.
Collaborate with team members to accomplish shared goals and deadlines.
Client Interaction
Build positive relationships with clients through timely support and professional communication.
Address client audit queries promptly and professionally, ensuring a high level of satisfaction.