Job Responsibilities:
- Prepare and analyze monthly quarterly and annual financial statements.
- Maintain the accuracy and integrity of the general ledger and all accounting records.
- Oversee and support the accounts payable accounts receivable and payroll functions.
- Review and settle employee advances and petty cash accounts in a timely and accurate manner.
- Reconcile bank statements ledger accounts and intercompany transactions regularly.
- Ensure compliance with all local tax regulations including VAT Zakat and withholding tax.
- Assist with internal and external audits providing necessary documentation and support.
- Monitor cash flow support cash management activities and provide financial forecasting when required.
- Support continuous improvement of financial processes and systems.
Job Requirments
- Bachelors degree in Accounting Finance or a related field.
- 3 years of relevant experience in general accounting.
- Proven experience in general accounting preferably in a similar role.
- Strong knowledge of financial reporting and accounting principles.
- Excellent analytical problemsolving and organizational skills.
- Proficient in Microsoft Office especially Excel Word and Outlook.
- Familiarity with local tax laws and regulations in Saudi Arabia is essential.
- Good understanding of cash flow management and financial forecasting.
- Very good command of English (spoken and written).
- Ability to work independently and as part of a team in a fastpaced environment.
Job Responsibilities:Prepare and analyze monthly quarterly and annual financial statements. Maintain the accuracy and integrity of the general ledger and all accounting records. Oversee and support the accounts payable accounts receivable and payroll functions. Review and settle employee advances an...
Job Responsibilities:
- Prepare and analyze monthly quarterly and annual financial statements.
- Maintain the accuracy and integrity of the general ledger and all accounting records.
- Oversee and support the accounts payable accounts receivable and payroll functions.
- Review and settle employee advances and petty cash accounts in a timely and accurate manner.
- Reconcile bank statements ledger accounts and intercompany transactions regularly.
- Ensure compliance with all local tax regulations including VAT Zakat and withholding tax.
- Assist with internal and external audits providing necessary documentation and support.
- Monitor cash flow support cash management activities and provide financial forecasting when required.
- Support continuous improvement of financial processes and systems.
Job Requirments
- Bachelors degree in Accounting Finance or a related field.
- 3 years of relevant experience in general accounting.
- Proven experience in general accounting preferably in a similar role.
- Strong knowledge of financial reporting and accounting principles.
- Excellent analytical problemsolving and organizational skills.
- Proficient in Microsoft Office especially Excel Word and Outlook.
- Familiarity with local tax laws and regulations in Saudi Arabia is essential.
- Good understanding of cash flow management and financial forecasting.
- Very good command of English (spoken and written).
- Ability to work independently and as part of a team in a fastpaced environment.
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