- Manage all accounting transactions
- Preparing and recording the necessary accounting entries in the system
- Preparing the necessary bank reconciliations according to the account statement
- Follow up and settle contractors and suppliers’ accounts according to invoices and extracts
- Handle monthly, quarterly and annual closings
- Preparing a monthly report on the total financial of contractors and suppliers’ accounts.
- Reconcile accounts payable / receivable
- Ensure timely bank payments
- Comply with financial policies and regulations
Bachelor of CommerceWork experience from 3 to 5 yearsExperience in real estate investment and development is preferredAbility to work and use Microsoft Office programsAbility to work under pressureProficiency in English