- Review daily payments requests and ensure that all supporting documents available and singed by authorized persons.
- Prepare bank transfers, checks and payment vouchers.
- Issue debit/credit notes to other related parties.
- Prepare monthly bank account reconciliations.
- Prepares and records assets, liabilities, revenues, and expenses entries by compiling and analyzing account information.
- Investment accounting including acquisition, disposal, and associated income.
- Review Intercompany JVs prepared by other accountants.
- Monitor, review, and book Real Estate Investments
- Maintain and balances subsidiaries accounts by verifying, allocating, posting, reconciling transactions, and resolving discrepancies.
- Preparation of monthly VAT returns.
Requirements
- Bachelor s degree in relevant filed (Accounting)
- 5+ years of Exp.
- Zakat and VAT Knowledge.
Bachelor s degree in relevant filed (Accounting) 5+ years of Exp. Zakat and VAT Knowledge.