| Job Location | Cairo, Egypt |
| Education | Not Mentioned |
| Salary | Not Mentioned |
| Industry | Hospitality & Accomodation |
| Functional Area | Not Mentioned |
Review and validate bank reconciliations on a monthly basis Revise all local and foreign supplier s check and transfers and validate before delivering to suppliers Monitor and control cash and preparing daily cash flow on a weekly basis Reconcile trial balance accuracy every month Process ledger and booking entries according to stated procedures Review petty cash Revise GL entriesj
Keyskills :
Accounting
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