• Analyze balance sheets, income, cash flow statements, and other reports to assess accuracy.
  • Maintain accurate month-end records by examining all financial statements.
  • Facilitate a smooth yearly audit process through an independent evaluator by providing accurate transactions and balances of the company.
  • Handle monthly, quarterly and annual closings.
  • Analyze reconciling bank statements, and monitor company finances to issue accurate and insightful reports within defined deadlines.
  • Coordinate with the management and uphold the standard laws and regulations for monitoring, updating, and maintaining fiscal activities.

Skills

  • Pertinent educational qualification in the field of Commerce, Finance, and Economics.
  • Strong understanding of accounting aspects like balance sheets, cash flow management, business forecast, and profitability.
  • Strong communication and negotiation skills in partnership management and inter-department coordination.
  • Adept in data analysis, interpretation, and use of modern accounting techniques.
  • Sound knowledge of different types of financial reports and balance sheets.
  • Hands-on experience in handling MS Word, Excel, Outlook, Teams, and PowerPoint.
Post date: 14 February 2024
Publisher: Bayt
Post date: 14 February 2024
Publisher: Bayt