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  •  ...Key Responsibilities : Perform daily, weekly, and monthly bank reconciliations. Record and monitor all banking transactions...  ...external audits. Resolve discrepancies between bank statements and accounting records. Manage cash flow by monitoring deposits,... 

    International Food & Con...

    6th of October
    25 days ago
  •  ...Job Description Position Overview : ~ The Bank Accountant is responsible for managing the financial transactions of the bank, ensuring accurate recording and reporting of all banking activities. This includes reconciling accounts, preparing financial statements, managing... 

    International Food & Con...

    6th of October
    a month ago
  •  ...Job Title: Banking Customer Service Representative RayaCX is seeking a dynamic and customer-oriented individual to join our team...  ...meet sales targets - Process loan applications and open new accounts for customers - Maintain accurate and up-to-date customer records... 

    RayaCX

    Cairo
    17 days ago
  •  ...Job Description Manage all accounting transactions Prepare budget forecasts Publish financial statements in time Handle monthly...  ...Reconcile accounts payable and receivable Ensure timely bank payments Compute taxes and prepare tax returns Manage balance... 

    Tayet's

    6th of October
    3 days ago
  •  ...Job Description Manage all accounting transactions Prepare budget forecasts Publish financial statements in time Handle monthly...  ...Reconcile accounts payable and receivable Ensure timely bank payments Compute taxes and prepare tax returns Manage balance... 

    Bita Misr

    Giza
    6 days ago
  •  ...Job Description The Junior Accountant will support the Finance and Accounting team in managing daily accounting tasks. The role is essential...  ...with month-end and year-end closing processes. Reconcile bank statements and other accounts regularly. Assist in preparing... 

    Powergreen

    6th of October
    5 days ago
  •  ...Job Description Manage all accounting transactions Prepare budget forecasts Publish financial statements in time Handle monthly...  ...Reconcile accounts payable and receivable Ensure timely bank payments Compute taxes and prepare tax returns Manage balance... 

    United Developments

    New Cairo
    5 days ago
  •  ...Job Description Manage all accounting transactions Prepare budget forecasts Publish financial statements in time Handle monthly...  ...Reconcile accounts payable and receivable Ensure timely bank payments Compute taxes and prepare tax returns Manage balance... 
    6th of October
    14 days ago
  • -Responsible for the daily accounting treatment. -Responsible for the tax planning and calculation. -Responsible for the issuance of...  ...required by tax authority. -Responsible for the payment from the bank. -Responsible for the statutory audit of the branch. -... 

    Tawzef for Recruitment & HR Consultancy

    Cairo
    6 days ago
  •  ...uploading electronic tax invoices to the Egyptian e-invoicing system. Recording sales collection transactions (cash or bank) into the accounting software. Reviewing and reconciling customer and supplier account statements. Monitoring daily cash and bank movements... 

    El

    Cairo
    4 days ago
  •  ...e-commerce and sales teams to resolve discrepancies in customer accounts. Manage daily cash transactions, including deposits, withdrawals...  ...flow and assist in preparing cash flow forecasts. Reconcile bank statements with internal records and resolve any discrepancies... 
    Cairo
    4 days ago
  •  ...Description ~ Manage and oversee the daily operations of the accounting department including: month and end-year process accounts...  ...data and produce financial reports or statements Taxes Banking Supervise AP and AR Establish and enforce proper accounting... 

    Sprint Trading

    Cairo
    6 days ago
  •  ...Job Description Manage all accounting transactions Prepare budget forecasts Publish financial statements in time Handle monthly...  ...Reconcile accounts payable and receivable Ensure timely bank payments Compute taxes and prepare tax returns Manage balance... 

    NIG

    New Cairo
    3 days ago
  •  ...Prepare journal entries and maintain general ledger accuracy. Reconcile bank statements, accounts payable, and receivable. Prepare financial statements and management reports (monthly, quarterly, yearly). Assist in budget preparation and financial forecasting.... 

    TSK GLOBAL

    Cairo
    7 days ago
  •  ...Job Description Accounting Accounts Payable: monitor the required due dates to ensure payments are made in a timely manner. Accounts...  ...ensure sufficient liquidity for the company's operations. Bank Reconciliation: Perform regular bank reconciliations and... 

    Professional Service

    New Cairo
    5 days ago
  •  ...Manufacturing Experience ONLY Daily Operations & Transactional Accounting - Oversee daily accounting tasks, including processing...  ...treasury operations, including budgeting, cash flow forecasting, and bank reconciliations. - Handle fixed asset activity, debt... 

    Cookievore

    Sheikh Zayed City
    5 days ago
  •  ...Job Description Provide accounting and clerical support to the accounting department Type accurately, prepare and maintain accounting documents and records Prepare bank deposits, general ledger postings and statements Reconcile accounts in a timely manner... 
    New Cairo
    10 days ago
  •  ...Job Description Handle daily accounting operations, including accounts payable/receivable, general ledger entries, and bank reconciliations. Manage relationships with banks, suppliers, and inventory control teams . Prepare and maintain financial statements... 

    Elite for energy drinks

    6th of October
    13 days ago
  •  ...Job Description Manage all accounting transactions Prepare budget forecasts Publish financial statements in time Handle monthly...  ...Reconcile accounts payable and receivable Ensure timely bank payments Audit financial transactions and documents Reinforce... 

    El Saba Group

    Cairo
    10 days ago
  •  ...Responsibilities: Record day-to-day financial transactions and ensure accuracy in the general ledger. Monitor and reconcile bank accounts and other financial statements. Handle accounts payable and receivable, including issuing invoices and processing payments.... 
    New Cairo
    10 days ago