Job Description
Treasury control
and daily cash management
Preparing cash
flow reports , prepare daily payment summary report
Manage the daily
functions of the company's cash
Prepare and
submit weekly/monthly reports
Assist
senior accountants in the preparation of monthly/yearly closings
Assist
with other accounting projects
Post and
process journal entries to ensure all business transactions are recorded
Update
accounts receivable and issue invoices
Update
accounts payable and perform reconciliations
Assist in the
processing of balance sheets, income statements and other financial statements
according to legal and company accounting and financial guidelines
Job Requirements
Education
Bachelor's degree in Accounting or finance - Arabic section or English section
preferred
background in Real Estate Field
Proficient use
Microsoft Office and its applications
Excellent
communication skills
BSc/Ba in
accounting, finance or relevant field
Good
understanding of accounting and financial reporting principles and practices
Good with
numbers and figures and an analytical acumen
Good
understanding of accounting and financial reporting principles and practices
Apply Via The Following Link