بازرگانی ایران ترانسفو

بیش از یک ماه منتشر شده

Job Description

- Planning, guidance and coordination of accounting - Diversified financial reporting - Budgeting and control of liquidity - Analyze accounting records, financial statements and reports to find management practices - Monitor and manage the collection of receivables and costs - The financial division of labor between team members -Provide monthly/yearly financial statements and reports and interpret financial information to finance director while recommending further courses of action -Prepare, examine and analyze accounting records, financial statements and any related reports to evaluate accuracy, comprehensiveness and conformance to reporting and procedural standards -Handle and manage all activities and reports regarding payments, taxes, VAT, bank accounts, salaries, insurance, social security, etc. -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 -Other duties based on job responsibilities. - Recording daily accounting document. - Develop, maintain, and analyze budgets, preparing periodic reports that compare budgeted costs to actual costs; - Plan, modify, develop and implement the record keeping and accounting systems; - Prepare, examine and analyze accounting records, financial statements and any related reports to evaluate accuracy, comprehensiveness and conformance of report and procedural standards; - Supervision of the execution of financial accounting systems, credits and banking affairs, insurance and the ministry of finance; - Prepare monthly analysis of cost of goods sold and operational expenses against prior year and budget, providing explanations and business solutions to help mitigate the risks - Handle and manage all activities and reports regarding payments, taxes, VAT, bank accounts, salaries, insurance, social security, etc.; - Develop, control and report on budgets and preparing periodic and occasional reports on them, specially analytical reports to help the management in developing strategies and prioritizing activities and investments; - Prepare balance sheets, statements, financial ratios, etc. - Plan, control, audit and analyze financial records and report on stores and branches; - Control and report physical assets inventory; - Analyze business operations, trends, costs, revenues, profits, financial commitments and obligations and plan and project future performance and provide advice. - Preparing sales reports seasonally and registering tax incurred costs

Requirements

- University Qualifications: Minimum Master or Bachelor in finance or a relevant discipline. - Work Experience: At least 10 years relevant work experience. - Analysis's skills - Strong knowledge of Accounting Standards - Strong leadership and management skills - Excellent Supervisory skills Strong interpersonal communication and presentation skills. - Strong organization and decision-making skills - Team player with strong commercial acumen. - Team working and leadership skills. - Proficient user of finance software - Working knowledge of all statutory legislation and regulations - A solid understanding of financial standards and accounting principles - Thorough knowledge of country specific (Iran) accounting principles and procedures, TAX Strong knowledge of Accounting Standards - well knowledge in English -Ideal average age :40-50

Employment Type

  • Full Time

Seniority

Details

Employment type

  • Full Time

Educations

Seniority

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