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الوصف الوظيفي · Reconciling sub-ledger to general ledger account balances · Preparing financial statements · Performing monthly balance sheet, P & L account and changes in financial position/budget variance analyses · Assisting in the design and preparation of budgets for review by management · Supervising accounting staff · · Maintain effective business relationships with clients, suppliers and authorities. · Cash Flow management: Preparation of Cash Flow Forecast of the company and maintaining their Actual Cash Flow · Prepare and Review annual financial plans, capital expenditure proposals and budgets produced by departments to ensure they meet cost and profitability targets, whilst being realistic and achievable. المهارات · Other knowledge: MS Excel, Word, BOM, typing skill – Numeric and Words · Academic Qualification: Bcom / M com / with 2 years UAE or GCC experience تفاصيل الوظيفة https://www.bayt.com/ar/uae/jobs/accountant-4481243/ |
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