Financial Reporting & Analysis
- Prepare monthly quarterly and annual financial statements in accordance with IFRS/GAAP.
- Conduct financial analysis variance analysis and reconciliations to ensure accuracy.
- Assist in the preparation of management reports dashboards and budgeting forecasts.
General Accounting & Compliance
- Maintain general ledger accounts journal entries and account reconciliations.
- Ensure compliance with local tax regulations VAT Zakat and corporate tax filings.
- Support external and internal audits by preparing financial data and reports.
Accounts Payable & Receivable Management
- Oversee vendor payments expense reports and reconciliations.
- Manage customer invoicing collections and credit control.
- Ensure proper documentation and compliance with company policies.
Cost Control & Budgeting
- Assist in cost accounting expense tracking and budget analysis.
- Provide insights to optimize costs reduce financial risks and improve profitability.
Payroll & Financial Operations
- Coordinate payroll processing and ensure timely salary disbursements.
- Manage bank reconciliations and cash flow forecasting.
- Ensure proper handling of employee benefits deductions and financial records.
Requirements
Education & Experience:
- Bachelor s degree in Accounting Finance or a related field.
- 5 years of experience in accounting preferably in a corporate or audit environment.
- CPA CMA or ACCA certification is a plus.
Skills & Competencies:
- Strong knowledge of IFRS GAAP and local tax regulations.
- Experience with accounting software (SAP Oracle QuickBooks or similar ERP systems).
- Proficiency in Microsoft Excel financial modeling and data analysis.
- Excellent problemsolving attention to detail and analytical skills.
- Strong communication skills and ability to work with crossfunctional teams.