Accounting Manager

Egypt - Giza

We are looking for an Accounting Manager who is responsible for managing and overseeing the daily operations of the accounting department. This includes the preparation of financial statements, maintenance of financial records, implementation of internal controls, and coordination of audit processes. The Accounting Manager will play a key role in ensuring compliance with accounting standards and regulations.

 


 Responsibilities

Financial Reporting:
Prepares and analyzes monthly, quarterly, and annual financial statements
Ensures accuracy and completeness of financial records
Provides financial reports and analysis to senior management
General Ledger Management:
Oversees the general ledger and ensures accurate recording of financial transactions
Reconciled accounts and resolved discrepancies
Audit Coordination:
Coordinates and provides needed information for external audits
Prepares audit schedules and respond to auditor inquiries
Compliance:
Ensures compliance with relevant accounting standards and regulations
Stays abreast of changes in accounting rules and regulations
Budgeting and Forecasting:
Assists in the development and monitoring of the company's budget
Collaborates with department heads to gather budget inputs
Analyzes budget variances and provides explanations
Internal Controls:
Oversees the daily activities of the accounting department and ensures that all major projects, month-end, and year-end reports are completed accurately and on time
Establishes and maintains internal control policies and procedures
Monitors adherence to internal controls and recommends improvements
Team Leadership:
Supervises and mentors accounting staff
Conducts performance evaluations and provides training as needed
Process Improvement:
Identifies and implements process improvements to enhance accuracy & efficiency
Streamline financial reporting processes
Assists other departments as they develop strategies, establish objectives, and make decisions that could have a financial impact on the business
Keeps informed about the latest developments in the finance industry
Tax Arrangements
prepares all documents for tax planning throughout the fiscal year; files an annual corporate tax return and supports other subsidiaries as needed
Cash Management:
Manages cash flow and cash forecasting
Monitors banking activities and ensures bank reconciliations are completed
Special Projects:
Participate in special projects as assigned by senior management
Contribute financial expertise to cross-functional teams


Bachelor’s degree in accounting, Finance, or related fieldProven certified any CMA, CPA, CIA , IFRS  5-10 years of related experience in a Managerial level and in Industrial field  Excellent leadership and communication skillsStrong understanding of accounting, finance, and reporting standardsProficiency with financial applications and ERPs (NetSuite is a plus)High level of efficiency and accuracyAttention to detail and the ability to analyze large amounts of data
Post date: Today
Publisher: Wuzzuf .com
Post date: Today
Publisher: Wuzzuf .com