Job Description
- Management and controlling ,Handle and manage all activities and reports regarding payments, taxes, VAT, bank accounts, salaries, insurance, etc. Control Balance Sheet, Profit and Loss and Cash Flow.
- Control and confirm all accounts entry. Sufficient knowledge about accounting, TAX and VAT accounting and sales and distribution accounting
- Produce daily and monthly cash flows comparing budgeted costs to actual costs.
- Coordinate and complete annual audits - Improve systems and procedures and initiate corrective actions
- Assign projects and direct staff to ensure compliance and accuracy
- Establish and enforce proper accounting methods, policies and principles
- Analyze business operations, trends, costs, revenues, profits, financial commitments and obligations and plan and project future performance and provide advice.
- To develop and improve financial systems, processes and reports.
- Develop the skills of the finance team members through training and coaching.
-Prepare daily and accurate management's financial or internal reports.
-Ability to analyze and report by management’s dashboards
- Structure maker and process oriented - Ability to make strong accounting team