Job Description
- Planning and organizing in order to perform all tasks of the company's finances.
- Exercising supervision and control in order to properly implement laws, regulations, instructions, and financial directives in different units.
- Financing and managing cash and other monetary assets.
- Maintaining financial records, controlling financial activities, identifying deviations from efficient and planned performance, as well as managing payroll, Inventory taxation, fixed assets, and computer operations.
- Preparation of financial reports for directors.
- To prepare and submit Treasury Report on monthly basis and ensure the information is accurate and ties back to TOP financials.
- Preparing interactive and useful financial reports.
- Maintaining records by updating invoices, debits, and credits
- Simplifying the reporting process in order to make it easy to learn and transfer.
- Interacting constantly with other team members in order to improve the accuracy of financial reports.
- Correction of possible discrepancies and inconsistencies in financial reports created by other teams and improving the reliability of the reports as much as possible.
- Proposing efficient and suitable coding for financial systems.
- Auditing financial procedures and maintaining accounting systems and coding.
- all kind of accounting aspect