| Job Location | Cairo, Egypt |
| Education | Not Mentioned |
| Salary | Not Mentioned |
| Industry | Other Business Support Services |
| Functional Area | Not Mentioned |
Responsibilities:- Provides financial information by maintaining and reconciling accounts;preparing reports.Job Duties:? Maintains financial records for subsidiary companies by analyzing balancesheets and general ledger accounts.? Reconciles general and subsidiary bank accounts by gathering andbalancing information.? Provides financial status information by preparing special reports;completing special projects.? Corrects errors by posting adjusting journal entries.? Maintains general ledger accounts by reconciling accounts receivabledetail and control accounts; adjusting entries for amortizations prepaid;analyzing and reconciling retainage and accounts payable ledgers;preparing fixed asset depreciation and accruals.? Secures financial information by completing database backups; keepinginformation confidential.? Maintains accounting controls by following policies and procedures;complying with federal, state, and local financial legal requirements.? Updates job knowledge by participating in educational opportunities;reading professional publications.? Accomplishes accounting and organization mission
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