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Search Results: 96 vacancies
- ...records and the accuracy of sudden physical count quarterly. Responsible for developing and executing the organization’s annual audit plans. Provide audit reports to highlight issues and communicate the process owners. Perform data analytics/analytical reviews...
- ...Job Description Conduct dozens of bank’s routine transactions within time limits and established guidelines (cash checks, accept deposits and loan payments, process withdrawals etc) Assess customer needs and introduce new products and services (credit cards, saving...
- ...Job Description Responsible for managing cash box (in\out) Responsible for banking relationships (L/C, L/G, External Transfers & Cheques). Revising the bank statement at the end of the month with our actual transactions and discovering the differences, then resolving...
- ...daily transactions Prepare balance sheets Track and reconcile bank statements Create cost analysis reports (fixed and variable... ...budget preparation Participate in quarterly and annual audits Job Requirements Work experience as a Finance Assistant,...
- ...closings Reconcile accounts payable and receivable Ensure timely bank payments Compute taxes and prepare tax returns Manage... ...Report on the company’s financial health and liquidity Audit financial transactions and documents Reinforce financial data...
- ...journal entries, general ledger, accounts payable/receivable, and bank reconciliations. Prepare Accurate Financial Reports... ...errors or fraud and ensure regulatory compliance (e.g., taxes, audit, payroll). Cash Flow Management Monitor daily cash balances...
- ...closings Reconcile accounts payable and receivable Ensure timely bank payments Compute taxes and prepare tax returns Manage... ...Report on the company’s financial health and liquidity Audit financial transactions and documents Reinforce financial data...
- ...~ Reconcile accounts payable and receivable ~ Ensure timely bank payments ~ Compute taxes and prepare tax returns ~ Manage balance... ...~ Report on the company’s financial health and liquidity ~ Audit financial transactions and documents ~ Reinforce financial data...
- ...and receivable processes and ensure timely processing. -Review bank reconciliations, petty cash, and intercompany transactions. -... ...g., IFRS) and tax regulations. -Support external and internal audit processes by providing required documentation and explanations....
- ...accounting transactions including journal entries, general ledger, and bank reconciliations. -Ensure timely month-end and year-end closing... .... -Coordinate with external auditors and manage the annual audit process. -Develop and implement internal accounting policies...
- ...cash transactions accurately. Reconcile cash, credit card, and bank transactions to ensure proper revenue collection. Review and... ...of financial statements and management reports. Assist in audit preparations by organizing and preparing financial documents and...
- ..., ensuring accuracy and completeness of AR accounts. Conduct bank and POS reconciliations to identify and resolve discrepancies in... ...as required by management. Support with internal and external audits. Job Requirements Bachelor’s degree in Accounting,...
- ...financial policies. Monitor sales and revenue reports and ensure timely and accurate deposit of revenues into approved banks, along with periodic audits. Oversee and analyze receivables (customer accounts), update customer credit ratings based on the aging analysis....
- ...analysis to guide strategic decisions Coordinate external audits and tax filings ; ensure compliance with local tax laws and regulatory... ...to safeguard assets Oversee c ash-flow forecasting, bank reconciliations , and working capital management Mentor and...
- ...systems. Ensure the facility complies with local regulations and bank’s internal standards, including health, safety, and... ...compromising quality or compliance. Conduct regular inspections and audits to proactively identify and resolve facility issues. Oversee...
- ...with procurement, inventory, and sales teams. Supervise daily bank activities and reconciliations. Accounting & Reporting:... ...group. Coordinate with external auditors and support statutory audits. Tax & Compliance: Ensure full compliance with tax regulations...
- ...calculation compliance with policies, procedures, and governmental laws (tax law, social insurance law). Preparing HR letters to open a bank account for new employees. Report to department supervisor regarding daily activities and issues. Address and resolve employee...
- ...• Recording daily entries (invoices, expenses, receipts, and disbursements). • Reviewing transactions in GoPOS. • Reconciling with bank accounts and archiving invoices. Weekly Tasks: • Reconciling bank accounts. • Preparing weekly expense reports. • Updating payroll...
- ...invoices for appropriate documentation prior to payment Perform invoice and general-ledger data entry Execute credit card and bank account reconciliation Generate purchase orders when necessary Maintaining historical records Obtain and print signatures on...
- ...Conduct an annual summary of the situation in terms of HSE. Manage & Coordinate tasks for the shift supervisors. Perform HSE Audits, Training, Orientation. Prepare HSE programs to Control & Prevent unsafe conditions & Reporting them. Prepare monthly reports...