- Implement financial and accounting procedures, monitor document accuracy, and approve journal entries before recording.
- Record and maintain accounting documents, prepare monthly reconciliations, and post journal entries.
- Prepare trial balances, periodic financial reports, and year-end financial statements.
- Conduct periodic and annual inventory counts, reconcile assets with accounts, and prepare end-of-period adjustments.
- Manage accounts payable, issue payment orders, and follow up on cash or check collections.
- Review contracts and payment terms, monitor insurance files, and calculate VAT on supplies or services.
Bachelor’s degree in Accounting, Finance, or a related field.Work experience as an AccountantAdvanced MS Excel skills Strong attention to detail and good analytical skills