• auditing financial documents and procedures.
• reconciling bank statements and calculating tax payments and returns.
• manage all financial transactions.
• Handle our fixed payments and variable expenses.
• Prepare budget forecasts and monthly closings.
• Publish financial statements in time.
• Reconcile accounts payable and receivable.
• Ensure timely bank payments.
• Compute taxes and prepare tax returns.
• Manage balance sheets and prof statements.
• Report on the company’s financial health and liquidity
• Comply with financial policies and regulations.
- Minimum Experience of 3 years.
- Ready to join immediately.
- Transferable visa 18.
- Work under pressure.
- MS program skills.
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