Accountant
Hazmieh
Posted 30+ days ago
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Nationality
Any Nationality
Gender
Not Mentioned
Vacancy
1 Vacancy
Job Description
Roles & Responsibilities
Control daily accounting transactions and review accounting reports (invoices, receipts, returns, others)
Guide and solve queries of customer on daily basis
Receive daily payment by cash, checks, transfer and others and submit email to concerned parties
Collaborate with Accountant Manager to finalize and update Collection Reports, monthly and the inventory, every 6 months
Organize files & documents, daily
Ensure month-end closes, prepare and enter monthly journal entries, bank reconciling, invoicing, clients employees related NSSF and verify cash sheets are being completed promptly and accurately
Process cash receipts to Tenant accounts and process/pay vendor invoices
Maintain balance sheet schedules for utilization in the correct reporting of monthly financials and reconciliation of balance sheet accounts
Follow up contracts with vendors, yearly
Ensure and verify proper allocation of expenses, revenues, interests and fees calculations, ensure it s in line with signed agreements & advise financial commitments & future revenues
Reconcile all accounts (supplier, petty cash, bank) in order to make sure that all data entered is correct, monthly
Prepare and follow up payment of all taxes (VAT quarterly, income tax quarterly, NSFF...), quarterly/yearly
Continuous management and support of budget and forecast activities, yearly
Financial audit preparation and coordinate the audit process
Guide and solve queries of customer on daily basis
Receive daily payment by cash, checks, transfer and others and submit email to concerned parties
Collaborate with Accountant Manager to finalize and update Collection Reports, monthly and the inventory, every 6 months
Organize files & documents, daily
Ensure month-end closes, prepare and enter monthly journal entries, bank reconciling, invoicing, clients employees related NSSF and verify cash sheets are being completed promptly and accurately
Process cash receipts to Tenant accounts and process/pay vendor invoices
Maintain balance sheet schedules for utilization in the correct reporting of monthly financials and reconciliation of balance sheet accounts
Follow up contracts with vendors, yearly
Ensure and verify proper allocation of expenses, revenues, interests and fees calculations, ensure it s in line with signed agreements & advise financial commitments & future revenues
Reconcile all accounts (supplier, petty cash, bank) in order to make sure that all data entered is correct, monthly
Prepare and follow up payment of all taxes (VAT quarterly, income tax quarterly, NSFF...), quarterly/yearly
Continuous management and support of budget and forecast activities, yearly
Financial audit preparation and coordinate the audit process
Company Industry
- Recruitment
- Placement Firm
- Executive Search
Department / Functional Area
- Accounts
- Taxation
- Audit
- Company Secretary
Keywords
- Accountant
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