Job Purpose: Manage and consolidate companies and departments budgets and perform needed internal controls to manage all financial risks and potential opportunities. Duties & Responsibilities: Accounting
Manage and supervise all existing and potential financial risk portfolios including tax, audit, transfer pricing, etc.
Maintain monthly reporting of Intercompany transactions & identifying differences.
Maintain records of tax letters & actions with company Tax advisor
Perform invoice and general-ledger data entry (QuickBooks-Excel)
Review invoices for appropriate documentation prior to payment.
bank account reconciliation.
Procced with bank transfer on due date
Budget Management
Consolidate all SG&A budget reports from companies and departments.
Audit and investigate SG&A budget deviation.
Propose possible measurements to control budget deviations.
Report consolidated SG&A budget to management on monthly and quarterly basis.
Documentation & filling
Manage documentation & filing of all invoices and payments.
Manage documentation & filing of tax letter received for each company.
Requirements:
3+ years of relevant experience in accounting, Tax & budget reporting
Prior experience managing accounting records.
Bachelor's degree in business, Finance, Accounting, etc.
Additional certification in accounting and finance is a requirement.
Proficient use of MS Office, with advanced knowledge of MS Excel.
Knowledge of different accounting systems.
Proficient written and spoken Arabic and English is a requirement.