Manage all accounting transactions
Prepare budget forecasts
Publish financial statements in time
Handle monthly, quarterly and annual closings
Reconcile accounts payable and receivable
Ensure timely bank payments
Compute taxes and prepare tax returns
Manage balance sheets and prof statements
Report on the company’s financial health and liquidity
Audit financial transactions and doents
Reinforce financial data confidentiality and conduct database backups when necessary
Comply with financial policies and regulations
Understand and apply consolidation principles in a multi-divisional business model.
Work under time pressure, monitor portfolios, and make timely investment decisions.
Utilize Microsoft Excel proficiently for data analysis and calculations.
Reconcile inter-company balances.
Process Monthly Payroll via WPS.
REQUIREMENTS AND SKILLS:
Bachelor's degree in Accounting, Finance, or related field.
Strong financial accounting knowledge, including consolidation techniques.
Experience in producing management reports and conducting financial analysis.
Knowledge of inter-company accounting and reconciliation.
Familiarity with auditing investment portfolios (bonds, stocks, private equity).
Excellent organizational, communication, and detail-oriented skills.
Advanced proficiency in Microsoft Excel.
NATIONALITY:
Philippines
Egypt
Jordan
Lebanese
Job Type: Full-time
Education: Bachelor's (Preferred)
Experience: Accounting 3 years (Preferred)
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