| Job Location | Jeddah , Saudi Arabia |
| Education | Bachelor's degree / higher diploma |
| Salary | Not Mentioned |
| Industry | Utilities |
| Functional Area | Not Mentioned |
To proceeds all assets and CIP transactions and activities and maintain all accounts reconciliation to ensure the accuracy of the accounting reports1- Process and post all asset transactions2- Analyze and capitalize all CIP projects3- Perform and calculate all depreciation expenses and post its journal entries4- Prepare monthly reconciliation of all Assets5- Ensure the implementation of all approved policies and procedures6- Monitor and maintain all forms to capitalize any potential asset
Keyskills :
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