To assist the Finance Manager or other seniors in all aspects of the monthly financial cycle including journal preparation, general ledger reconciliation and other projects as required.
Typical Responsibilities:
* Prepare bank reconciliation
* Balance sheet reconciliation for key accounts
* Key journals with adequate supporting documentation
* Maintain fixed asset
* Manage inter-company accounts
* Manage daily balances of bank accounts
* Ensure standard operating procedures within area of responsibility are observed
* Recommend improvements in work processes within area of responsibility
Job Details
| Date Posted: | 2013-02-24 |
| Job Location: | Riyadh, Saudi Arabia |
| Job Role: | Accounting/Banking/Finance |
| Company Industry: | Marketing; Consulting Services |
Preferred Candidate
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