Job Description

- Manage daily accounting and treasury operations - Analyze accounting topics - Manage accounting processes of the company - Composition of financial statements - Experience with accounting software tools (preferably NOSA) - Preparing financial and accounting reports - Experience in tax issues - Compose periodic reports including VAT, quarterly reports, etc. - Control of cash flow and operating costs and budget - Control and payment of monthly payroll - Provide analytical and managerial reports

Requirements

- Persistent, disciplined, accurate, intelligent, fast, responsible and great at team work - Experienced in banking issues, insurance, accounting and writing financial books - Bachelor's degree or higher in accounting or financial management - +5 years of relevant work experience - Leadership skills and strong supervision - Deep understanding of financial and accounting systems - Advanced knowledge MS Office and advanced skills in Excel - Strong communication skills - Problem solving and analytical thinking - Attention to detail - Good math skills Possession of the following will be considered as an advantage - Advanced knowledge of treaties and contracts, trade, insurance, taxes, value added, labor law and social security. - Familiar with the process of registering legal meetings of the company - Experienced with tax negotiations - Familiarity with international money transfer mechanisms - Fluent in English

Employment Type

  • Full Time

Seniority

Details

Employment type

  • Full Time

Educations

Seniority

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