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.