Responsible for the day-to-day accounting including payables/receivables, trial balance, month end reporting, payroll and local tax issues.
Responsibilities:
Daily Bank Reconciliation.
Month End Bank Reconciliation.
Maintaining Fixed Asset Register (Additions, Depreciation & Nominal Ledger Reconciliation)
Maintaining a Petty Cash System in Order for Cash Payments or Reimbursements to be Made. You Are then Required to Reconcile Petty Cash Account.
Reconciliation of Sales Ledger Control Account.
Reconciliation of Purchase Ledger Control Account.
Company Credit Card Management & Reconcile to Credit Card Account.
Dealing with Withholding and Sales Tax Returns (VAT) & VAT Control Account.
Ad-Hoc Management Reporting.
Ad-Hoc Financial Control.
Assisting the Financial Manager in his day to day duties.
Qualifications:
Excellent knowledge of Egyptian Accounting Standards, Tax and Statutory reporting with a minimum 4+ years experience.
Ability to demonstrate excellent financial accounting experience and knowledge.
General Requirements:
Good command of English language (written and spoken + French is a Plus), good presentation and communications Skills.
Proficient in MS Word, MS Excel, MS PowerPoint for all positions and MS-Visio for only technical ones.
Presentable, dedicated, self motivated with the ability to work under pressure.
Only male candidates required.