- Developing procedures and accurate implementation of the recording, classifying, and summarizing of daily financial transactions.
- Prepare bank checks with supporting documents.
- Prepare monthly bank reconciliation
Handling the complete accounting cycle, including opening, posting entries and closing of accounts and preparation of various accounting reports .
- Handling tasks related to cash disbursement and cash reconciliation in an auditing from after the cashier arrangement.
- Ensure accurate and appropriate recording and analysis of revenues and expenses.
- Administer cash payments, expenses recording and petty cash reconciliation.
- Prepare report of due payments, daily and Handle monthly journal entries.
- Review Supporting documents for accuracy and signatures on all cash vouchers and checks.
- Processing payroll calculations and processing incentives and deduction.
- Ensure financial records are maintained in compliance with accepted policies and procedures.
- Participating in Prepare financial statements (Balance Sheet, Income Statement, changes in owners' equity, and Cash Flow).
Job Details
| Date Posted: | 2014-07-27 |
| Job Location: | Cairo, Egypt |
| Job Role: | Accounting/Banking/Finance |
| Company Industry: | Other |
Preferred Candidate
| Career Level: | Entry Level |
| Gender: | Male |
| Nationality: | Egypt |
| Degree: | Bachelor's degree / higher diploma |
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Date Posted: July 27, 2014 at 02:15AM
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Accountant - MDC EGYPT
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