صاحب العمل نشط
حالة تأهب وظيفة
سيتم تحديثك بأحدث تنبيهات الوظائف عبر البريد الإلكترونيحالة تأهب وظيفة
سيتم تحديثك بأحدث تنبيهات الوظائف عبر البريد الإلكترونيEnsures Proper Revenue & Expense Accounting for all the divisions assigned and ensure proper supporting documentation.
• Reviews General Ledgers assigned to ensure proper Accounting and processes all general accounting transactions to ensure that balances always reflect the correct position.
• Arranges and provides documents for audit in coordination with Head of Finance and coordinates audit activities with the external & internal auditors.
• Ensures that proper Inventory Controls are always in place for the divisions assigned.
• Suggests improvements to the systems and procedures to bring overall improvement.
• Supports the preparation of budgets and forecasts. Also, in monitoring the approved budgets throughout the year and administration of the budgeting process start-to-finish.
• Monthly Financial reporting, analysis, and interpretation of the company’s financial performance – To deliver accurate, consistent, timely and consolidated financial reporting (Income Statement to balance sheet to cash flow) as per requirement.
• Provides information to management by assembling and summarizing data, making presentations of findings, analyses, and preparing recommendations.
• Reviews contracts, agreements, and project / tender documentation.
• Participates in the development of financial strategies, policies, objectives, and plans; Supports Head of Finance on all works related to smooth functioning of the Finance & Accounts Department.
• Prepares financial models.
• Tracks bank balance position, forecast payments, monitors collections. Determines financial status by comparing and analyzing plans and forecasts with actual results. Identifying trends; preparing detailed reports.
• Handling audits. Arrange and provide documents, schedules for audit in coordination with Head of Finance and coordinates audit activities with the external & internal auditors.
• Reconciles transactions by comparing and correcting data.
• Supports in the development of automated applications/solutions.
• Prepares various Management reports, analysis, and interpretation of the company’s financial performance within the stipulated time frame.
• Assists/Prepares Cash flows by forecasting payments and monitors collections to ensure proper working capital and foresee liquidity problems.
• Prepares annual divisional budgets and forecasts and its comparison with actual to find out variances.
• Supports monthly financial closing activities and ensuring deadlines are met with compliance to all statutory requirements.
• Analytically reviews various ledgers to ensure that variances are reasonable and errors if any are remediated.
• Prepares of various audit schedules as required.
• Coordinates with IT department to make changes / improvements in the system to ensure proper control and avoid manual accounting.
• Follows up with department regarding issues related to financial and accounting practices and procedures.
• Performs other duties as required.
دوام كامل