صاحب العمل نشط
• Prepares bank reconciliation.
• Monitors clearing account and performs appropriate action to clear out balances (including booking of entries or informing accounting of open items.
• Records journal entries for inter company transactions and prepares reconciliation of inter company transactions and balances.
• Prepares journal entries for amortization of prepaid expenses and intangibles, accruals of interests, and other monthly recurring transactions.
• Recommends and implements new procedures to improve accuracy and timelines of work flow and to streamline accounting closing cycle.
دوام كامل
الحسابات / الضرائب / التدقيق / سكرتير الشركة