Job description:
- Prepare & Monitor all accounts for (Creditors and Suppliers and Brokerage companies) .
- Monitor operating cash flow monthly also Prepare, review month`s tasks and close it.
- Responsible for periodical tax reconciliation &Trial balance& close budget.
- Prepare bank reconciliations daily.
- Review all accounting transactions and assure all entries are recorded correctly based on required approval, POs, allocated cost centers and GL accounts.
- Prepare form 41 for deduct tax and follow all electronic tax invoice daily .
Job Requirements:BS degree in Accounting, Finance or relevant.Experience Needed: 10 years GL experience in the same industry is a must.Proven experience as a Financial Controller, Accounting, senior accountant.Accuracy and attention to detail.Familiarity with financial accounting statements.Proficiency in Microsoft Office SuiteAbility to work independently and as part of a team.