Day-to-day financial accounting.
WPS and Staff Provisions
Bank Reconciliation.
Business Payments Management and Preparation for approvals from FM.
Prepayment Monthly Provisions Accruals Schedules and monthly amortizations
Accounts Payable and Receivable Aging reports.
VAT and Zakat Income Tax submission.
Internal Audits and assistance for external audits.
Costing and variance analysis.
Budgeting Master Budgets Sales and Cost Budgets Staff Cost Budgets and Operational Budgets and Forecasting ( Cash Flow Forecasting Sales and expenses forecasting and profit and loss forecasting).
Monthly and yearly financial Reports: Balance Sheet Profit and Loss Cash Flow Statement.
Financial Ratios analysis and critical review.
Inventory Management
Management Reporting
Cash and Liquidity Management
Fixed Assets Management
Additional Information :
Interested applicants should send your CV to:
Remote Work :
No
Employment Type :
Full-time
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