Banking Jobs in Egypt - Vacancies in Dec 2021 - Drjobpro.com :sortBy
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2391+ Banking Jobs in Egypt

2391+

Banking Jobs in Egypt

Banking Jobs in Egypt


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About the Job Banking Accountant Handling banking business, issuing checks, bank transfers, linking deposits and following up on bank accounts, preferably if you worked in a bank Job Requirements 10-15 years of experience Less

About the Job Banking Accountant Handling banking business, issuing checks, bank transfers, linking deposits and following up on bank accounts, preferably if you worked in a bank Job Requirements 10-15 years of experience


Banking Accountant

2 - 3
EGP 4000 - 6000
Egypt / 2 - 3 / EGP 4000 - 6000

Job Description Tracking bank transactions. Handle the process of facilities renewal with all banks. File all the documents properly. Follow up with banks & resolve all pending issues & problems. Prepare monthly bank reconciliation for all company accounts. Perform monthly and annual bank reconciliation. Track the loans on a monthly basis. Job Requirements Bachelor's degree in Accounting from a reputable university. 2:3 Years of experience as a Banks Accountant. Experience in banks Facilities handling is a Must. Experiencein loantracking is a Must Good Command of English Language. Males only Very good user of Microsoft office. Good communication skills, Error-detection, Attentive to Details, Time Management, and Numerical abilities. Knowledge of the local accounting principles. Less

Job Description Tracking bank transactions. Handle the process of facilities renewal with all banks. File all the documents properly. Follow up with banks & resolve all pending issues & problems. Prepare monthly bank reconciliation for all company accounts. Perform monthly and annual bank reconciliation. Track the loans on a monthl More..


Banking Accountant

0 - 3
EGP 4000 - 6000
Egypt / 0 - 3 / EGP 4000 - 6000

Job Description Tracking bank transactions. Responsible for all bank transfers. Preparation of monthly closing reports of bank accounts. Handle the process of facility renewal with all banks. File all the documents properly. Follow up with banks & resolve all pending issues & problems. Prepare monthly bank reconciliation for all company accounts. Perform monthly and annual bank reconciliation. Prepare and perform bank reconciliation on a periodic basis. Preparing the cash status reports. Preparing daily, monthly, quarterly, semi-annual, and annual financial statements of the bank. Job Requirements Bachelor's degree in accounting or finance. Basic understanding of principles of finance, bookkeeping, and EAS (Egyptian Accounting Standards). Experience from 1-3 Years in the same field. Fast learning. Less

Job Description Tracking bank transactions. Responsible for all bank transfers. Preparation of monthly closing reports of bank accounts. Handle the process of facility renewal with all banks. File all the documents properly. Follow up with banks & resolve all pending issues & problems. Prepare monthly bank reconciliation for all co More..



Job Description Responsible for daily finance operations including managing accounts payable, accounts receivable, banking matters, collection & preparing daily journal etc. Support month-end and year-end closing process Ensure quality control over financial transactions and financial reporting Job Requirements 3-5 years previous experience is preferable. Good Communication and organization Skills. Bachelor's degree in Accounting, Finance, or a related field. Less

Job Description Responsible for daily finance operations including managing accounts payable, accounts receivable, banking matters, collection & preparing daily journal etc. Support month-end and year-end closing process Ensure quality control over financial transactions and financial reporting Job Requirements 3-5 years previous expe More..


Banking Accountant

1 - 3
EGP 4000 - 6000
Egypt / 1 - 3 / EGP 4000 - 6000

Job Description Issuing, monitoring and controlling for all Collected Checks Report. Follow up on bank statements, banking documents and receipts after receiving it form treasury department or following up the online banking Receive Cash receipts from cash department Record daily transaction related to bank statements and local & foreign suppliers’ payments on oracle system. Receive all customer checks from credit department and record every check on its bank account Record customer checks on oracle system. Follow up on customers’ deposits by credit card (visa) or cash deposits. Prepare daily reports for the collected customer checks and inform send it to the sales department. Prepare, print and record all Bank Reconciliations as per the agreed upon dates. Research and resolve all outstanding reconciling items Analytical audit Job Requirements 1 to 3 years of experience in the Accounting field. Bachelor's degree in Finance, Accounting or Economics. Language Requirements: Fluency in English Proficient in Microsoft Office suite (Outlook, Excel, Word, PowerPoint, etc.) Less

Job Description Issuing, monitoring and controlling for all Collected Checks Report. Follow up on bank statements, banking documents and receipts after receiving it form treasury department or following up the online banking Receive Cash receipts from cash department Record daily transaction related to bank statements and local & foreign More..


Banking Accountant

1 - 3
EGP 4000 - 6000
Egypt / 1 - 3 / EGP 4000 - 6000

Job Description Tracking bank transactions. Responsible for all bank transfers. Preparation of monthly closing reports of bank accounts. Handle the process of facility renewal with all banks. File all the documents properly. Follow up with banks & resolve all pending issues & problems. Prepare monthly bank reconciliation for all company accounts. Perform monthly and annual bank reconciliation. Prepare and perform bank reconciliation on a periodic basis. Preparing the cash status reports. Preparing daily, monthly, quarterly, semi-annual, and annual financial statements of the bank. Job Requirements Bachelor's degree in accounting or finance. Basic understanding of principles of finance, bookkeeping, and EAS (Egyptian Accounting Standards). Experience from 1-3 Years in the same field. Fast learning. Less

Job Description Tracking bank transactions. Responsible for all bank transfers. Preparation of monthly closing reports of bank accounts. Handle the process of facility renewal with all banks. File all the documents properly. Follow up with banks & resolve all pending issues & problems. Prepare monthly bank reconciliation for all co More..



About the Job Reviewing and recording all bank charges. Preparing and Following up issuing all types of LG’s in coordination with AR accountant. Following up the decreasing or canceling for all types of running LG’s. Controlling and monitoring all banking daily transactions. Preparing monthly bank reconciliations for all accounts. Following up for issuing quarterly balance confirmation for all opening accounts, LG’s position, LC’s positions and TD’s positions. Following up all transactions related to LG’s, LC’s and TD’s. Preparing all bank transfers and draft cheques in coordination with AP accountant. Analyzing monthly debit interest, bank charges and LG’s commissions and compare it with the facilities contracts. Preparing a daily report for the available balance of cash, facilities limits and cash position. Job Requirements Qualification: Commerce Bachelor degree (Accounting Department). Field Experience: 4-7 years’ experience Must have experience in the Contracting/Construction field Must be results-oriented, able to manage timelines, and proactively communicate on-going issues to various team members Proven ability to work autonomously in a fast-paced work environment. Develop and maintain collaborative relationships with the financial team for the customers. Less

About the Job Reviewing and recording all bank charges. Preparing and Following up issuing all types of LG’s in coordination with AR accountant. Following up the decreasing or canceling for all types of running LG’s. Controlling and monitoring all banking daily transactions. Preparing monthly bank reconciliations for all accounts More..


Accountant - Banking

3 - 0
EGP 4000 - 6000
Egypt / 3 - 0 / EGP 4000 - 6000

Job Description Responsible for daily finance operations including managing accounts payable, accounts receivable, banking matters, collection & preparing daily journal etc. Support month-end and year-end closing process Ensure quality control over financial transactions and financial reporting Job Requirements 3-5 years previous experience is preferable. Good Communication and organization Skills. Bachelor's degree in Accounting, Finance, or a related field. Less

Job Description Responsible for daily finance operations including managing accounts payable, accounts receivable, banking matters, collection & preparing daily journal etc. Support month-end and year-end closing process Ensure quality control over financial transactions and financial reporting Job Requirements 3-5 years previous expe More..


Banking & Treasury Accountant

3 - 0
EGP 0 - 0
Egypt / 3 - 0 / EGP 0 - 0

Job Description Handle daily operation with Banks through monitoring the implementation of cash transactions, plus recording on the ERP system. Ensure that all bank transactions recorded & maintained in the system. Assist in the closing of accounts during month-end at the company and divisional level within stipulated timelines. Perform monthly and annual bank reconciliation. Process all cash transactions related to deposits, withdrawals & foreign currency exchanges in line with business needs. Paid up capital increase follow up Loan interest recording and tracking, following up the loan value and make sure the recording matches the bank reconciliation monthly Letter of credit recording and follow up regularly Letter of grantee recording and follow up regularly Make cash flow weekly , updated daily and reported Managing cash flow in and out to maintain positive flow of cash and maintaining cash needs for operations Job Requirements Bachelor's Degree in Accounting 3 to 5 years of professional accounting experience & relevant manufacturing experience. ERP User is a must Cash management skills A good knowledge of issuing LC's A good knowledge of issuing LG's Computer knowledge – a good knowledge of Microsoft Word and Spreadsheet Ability to assign duties and to management under pressure Self-motivated individual with effective organizational skills Must be proactive, with the ability to meet future needs Ability to undertake multiple tasks at the same time without losing focus Problem solving skills, and creative thinking. CTP or any other advanced certificate in treasury will be an advantage. Less

Job Description Handle daily operation with Banks through monitoring the implementation of cash transactions, plus recording on the ERP system. Ensure that all bank transactions recorded & maintained in the system. Assist in the closing of accounts during month-end at the company and divisional level within stipulated timelines. Perform m More..



Job Description Deliver weekly and monthly cash flow reporting accurately and on time for review Responsible for the accurate and timely settlement of group external payments Execute investment trades as required Support the Financial Risk Manager in refinancing and group rate hedging activity Support Finance planning and budgeting cycles Support external audit Manage operational issues and updates with banks Manage currency return process Job Requirements 4-6 years of experience ERP Males only Less

Job Description Deliver weekly and monthly cash flow reporting accurately and on time for review Responsible for the accurate and timely settlement of group external payments Execute investment trades as required Support the Financial Risk Manager in refinancing and group rate hedging activity Support Finance planning and budgeting cycles S More..