Job Description
Prepare accounting records or other financial reports (executive report, cash flow statement, bank guarantee report and ...)
Identify, investigate and revise routine errors;
Receive and process cash payments and checks;
Responsible for routine accounting activities.
Keeping books up to date.
Familiar with Legal Issues and Reports, such as VAT, Seasonal Reports, Tax, SSO,
Having the ability of providing reliable monthly / annual financial schedules / statements in line with guidance received from the group finance team