Job Description
Job Description
Must be in Saudi Arabia
Perform general accounting activities including but not limited to journal entries, payables, fixed assets, inventory control, cost accounting, in addition to reconciliations.
Control and sustain the accuracy and compliances of accounting records and ensure coherence with the group policies, processes and procedures.
Prepare the timely drafts related to the financial statement, monthly report, management report, cost center comparison report and share with upper management.
Control the Cash Closing Statement and ensure that the cash ledger balances match with the bank notes and checks physical count.
Analyze inventory discrepancy report prepared and submitted by the Accountants and take appropriate actions.
Compile, input and post monthly journal entries.
Reconcile periodically the bank accounts, suppliers, sub-ledgers accounts, accruals accounts, etc.
Maintain the petty cash by paying expenses that match within the company policies and procedures.
Handle the payments preparation processes and documentations.
Match the daily bank deposit with cash collected and check bank positions.
Manage, organize and update relevant data on Systems.
Build strong relationships and effectively communicate with internal and external stakeholders.
Maintain data integrity on all systems, forms and reports.
Handle proper physical and electronic archiving system.
Supervise inventory physical count.
Prepare the government declarations draft and submit to the Chief Accountant for approval.
Assist in the Audit mission by preparing the needed documents and statements
Requirements
Bachelor s Degree in Business Administration, Finance, Accounting or equivalent.
At least 4 years of experience in Accounting.
Proficiency in English is a must. Arabic is a plus.
Computer Knowledge: Microsoft Office, Basic Accounting Software.
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Desired Candidate Profile
Education:
Bachelor of Commerce(Commerce)
Gender:
nm
Nationality:
Any Nationality