Perform accounting activities include reviewing and clearing of balance sheets GL accounts, addition/ deletions relating to employees are properly recorded and paid/recovered on time and to provide support to the section’s objectives.
Assist in preparation of Excise Tax, VAT returns submitted to ZATCA.
Perform financial analysis and customized reports.
Prepare journal entry for recording all the debit/credit notes received from inter companies.
Prepare periodic reports with respect to own activities and achievements to be submitted to immediate supervisor.
Prepare audit samples and confirmation letters for suppliers.
Prepare Financial reporting on monthly and annual basis