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

Requirements

Bachelor’s Degree in Accounting - Intermediate in English - Highly committed to the job role and follow up the tasks - Familiar with MS-Office: esp. excel and word - Good knowledge of accounting software’s - Ability to handle multiple tasks and deadlines - Ability to work in a team based environment & Being accurate - At least 2 years of related experience - Self-organized, self-motivated, result oriented, team worker - Professional with positive attitude - Highly flexible and ability to work under pressure

Employment Type

  • Full Time

Details

Employment type

  • Full Time

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