Job Description
-Data entry and controlling
-Controlling Sales and Purchase Invoices
-Controlling Petty Cash
-Ensure that documents are registered in the system on a daily basis
-Controlling all accounting documents, invoices, bank statements and
- Reporting to Financial Manager
- Control and follow up receivable and payable accounts
- Prepare financial reports due to management requirements
- Proficient in government regulations like tax declaration, SSO, VAT, Labor Law, etc.
- Preparing seasonal reports and VAT
- Following internal control
- Perform estimated cost calculations of goods
- Monitoring all affairs of treasury including checking the bank accounts, issue the cheques, treasury accounting etc.
- Preparation and adjustment of policies, guidelines, methods and financial procedures, and the preparation and design of required forms, in order to coordinate the performance of financial affairs of different units
- Other related tasks