Job Description
Job Description
Developing budgets and financial reports
Introducing data into our financial system
Monitor receivables, payables and collections
Publish financial statements on time
Handle monthly, quarterly and annual closings
Compute taxes and prepare tax returns
Manage balance sheets and profit/loss statements
Prepare and review annual budgets
Manage cash flow, bank transactions and transfers
Renewing the company's financial statements to ensure their accuracy
Tracking, reporting and analyzing budget vacancies on monthly basis
Preparing month-end reports for management , including bank statements reconciliation, profit and loss statements, balance sheets, and cash flow statements
Recommending changes in policies or procedures to improve financial performance
Ensuring compliance with government regulations and tax declarations
Reporting directly to the General Manager
Job Requirements
Bachelor's degree in Accounting
Excellent Computer skills (Microsoft, advanced excel, software, networks, etc)
Good command of spoken English
Proven experience in financial management
Analytical skills
Strong leadership skills