1- Communicate with different departments to gather required data related to (Financial Package) Reports.
2- Prepare (Financial Package) reports including (Notes Receivable and Payable – Trial Balance – Income Statement) to deliver into related departments on required time.
3- Review the monthly financial reports and the interim reports as may be required by following the monthly closing policies and procedures to meet reporting dateline.
4- Ensure effective maintaining of organization’s fixed assets and depreciation schedules.
5- Monitor accruals/reversals, Enter & Evaluate Foreign Currencies for Each Accounting Period.
6- Prepare all Intercompany Debit & Credit Notes, Entering Cross Charge Transactions and formally reconcile the IC accounts with other BUs, on monthly basis, in order to confirm on the IC balances.
7- Prepare (on monthly basis) the bank reconciliation and communicate with concerned parties in order to overcome any problem in the payments on the system to enhance AR and AP cycle.
8- Communicate with developers’ team to handle issues related to (GL system to ensure maximum effectiveness from mentioned system.
9- Regularly reviews entries before the interfacing of the general and subsidiaries ledgers to assure accuracy and compliance with the accounting standards.
10- Develop all needed reports to be submitted to the direct manager.
11- Ensure applying department SOPs at all finance operations.
12- Perform any other assigned tasks as required by the direct manager within the same level of responsibility.
Bachelor’s degree in commerce – AccountingFrom 1 to 3 years’ experience in finance.V. good ERP system knowledge mainly oracle.Handling Stress skills.Good Problem-Solving SkillsGood Communication skills.Excellent command of MS Office - Excel.Advanced command of English language.