- Book keeping and Responsible for daily financial operations and routine accounting activities like: General voucher Entry Project invoices Bank statements Petty cash. - Control Bank statement and preparing monthly Bank reconciliation - Control Petty cash - Prepares special financial reports such as VAT and seasonal tax reports (169 Code of tax law) - Gather the documents needed to present to the independent auditor and government agencies - Preparing a statement of accounts reconciliation between individuals and legal entities - Responsible for other assigned tasks - Maintaining the confidentiality of company information and non-disclosure
Requirements
- University Qualifications: BSc / MSc in Financial Accounting, Financial Management, Economy.
- Nature and length of previous experience: 5 years of related experience.
- Specialist knowledge: Financial Analysis.
- Soft Skills and Personality traits: Team Work, Adaptability.