Prepares daily reconciliations of various bank and credit card accounts
Reconcile prepaid accounts, accrued expense, and others
Follow up/manage/post the operations expenses payments
Performs month-end, quarter-end, and year-end close processes
Prepares and maintains financial records: General Ledger, Trial Balance, Balance Sheet, Income Statement, Statement of Cash Flows and other financial reports on a regular basis
Assist with Budget process and reporting
Prepares monthly financial analysis and narratives for entities listed above
Report and advise on organization’s financial status
Job Requirements
Bachelor degree in Accounting
7-9 years of experience
Experience in Constructions is a must
Very good knowledge of Excel
Very good English Skills
Must be able to work with a flexible work schedule when needed
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