Notice: Function _load_textdomain_just_in_time was called incorrectly. Translation loading for the jetpack domain was triggered too early. This is usually an indicator for some code in the plugin or theme running too early. Translations should be loaded at the init action or later. Please see Debugging in WordPress for more information. (This message was added in version 6.7.0.) in /home/wathefty/public_html/jobs/wp-includes/functions.php on line 6114

Notice: Function _load_textdomain_just_in_time was called incorrectly. Translation loading for the rank-math domain was triggered too early. This is usually an indicator for some code in the plugin or theme running too early. Translations should be loaded at the init action or later. Please see Debugging in WordPress for more information. (This message was added in version 6.7.0.) in /home/wathefty/public_html/jobs/wp-includes/functions.php on line 6114

Notice: Function _load_textdomain_just_in_time was called incorrectly. Translation loading for the advanced-ads domain was triggered too early. This is usually an indicator for some code in the plugin or theme running too early. Translations should be loaded at the init action or later. Please see Debugging in WordPress for more information. (This message was added in version 6.7.0.) in /home/wathefty/public_html/jobs/wp-includes/functions.php on line 6114
Accountant - وظيفتي
وظائف البحرينوظائف مونستر البحرين

Accountant

Job Description

JOB DESCRIPTION
POSITION OBJECTIVE – The position is responsible for overseeing the day-to-day execution of general ledger impacted processes, including support to clients/departments as they work with and understand these processes. – Perform accounting functions specifically in the areas of account balancing, ledger reconciliation, reporting and discrepancy resolution. – Perform in areas relating to general ledgers, subsidiary ledgers and related reporting.
Key Responsibilities:
– Responsible for doing monthly book closing by end of the month for previous month.
– Responsible for Bank reconciliation by closing by end of the month for previous month.
– Responsible for Group Company Account Reconciliation by end of the month for previous month.
– Internal Audit and query resolution of Internal Audit.
– Fixed assets booking and maintaining fixed assets register.
– MIS (daily, weekly, fortnight and monthly) .
– Vendor management and vendor reconciliation.
– Finalization of accounts.
– Ensure final settlement is close within the cut-off day from the date of last working day of employee.
– Ledger Scrutiny: ensure books are up to date and free from errors and omissions.
– Advances if any adjusted against subsequent payment.
– Cost control and Reduction.
– Budgeting.

Job Details

Employment Types:

Full time

Industry:

Retailing

Function:

Banking

للتقدم على الوظيفة اضغط هنا

مقالات ذات صلة

اترك تعليقاً

لن يتم نشر عنوان بريدك الإلكتروني. الحقول الإلزامية مشار إليها بـ *

شاهد أيضاً
إغلاق
زر الذهاب إلى الأعلى