-All general accounting activities
-Executing daily cash operations such as cash payments, drawing cheques, collecting cash from the company's sales operations
-Recording treasury operations in the ledger books and keep the books in sync with real balances
-Reconciling banks, safe, and other cash and cash equivalent resources with the ledger books
-Maintaining a working relationship with banks
-Responsible for daily financial and accounting operations
-Preparing SSO and TAX office related items
-Preparing Tax reports & value added tax and seasonal reports
-Calculation of salary deductions incl. Insurance, work absence, loans
-Working Hours: Saturday-Wednesday: 8:30 a.m. to 17:00 p.m. , Thursday 8:30 a.m.to 12:30 p.m.
Requirements
-At least a Bachelor’s Degree in Accounting required
-At least 2 years of related experience
-Having a good grasp of money and bank operations
-Being self-organized and capable of organizing routine activities
-Being able to handle work in stressful situations
-Familiar with MS-Office: Especially Excel & Word
-Familiar with social insurance topics
-Familiar with Tax and V.A.T topics
-Familiar with accounting software programs
-Focused and precise on the given tasks
-Being very responsible and loyal to work
-Creative
-Good team player
-Gender Preference: Female