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Job Description: OB TITLE: ACCOUNTING &TAX LEADERDIVISION/ FUNCTION: Accounting DepartmentREPORTING STRUCTURE:Reports to: Finance ManagerDirect Supervision of: Senior Accountant, Accountant and Junior AccountantDUTIES & RESPONSIBILITIES:A/R Operation: Responsible for validating daily invoices/debit notes against agreement Email Updates. validate Recruitment invoicing. validate Rent invoicing. Responsible for validating Trackers and ledgers. Responsible for validating SOA and daily reports payroll calendar. Responsible for Highlighting Cases (over dues Errors Updates- Escalation)A/P Operation: Responsible for validating Bank Statement. Responsible for validating Petty cash, Advances. Responsible for validating All bank chqS and status. Responsible for validating payments before uploading Email Updates. Responsible for validating SOA and daily reports payroll calendar / Payments plan. Responsible for Highlighting Cases (Salary delay Errors Updates- Escalation)Local statutory calculation: Responsible for validating local authority sheets. Upload all statutory payments (CPS) for Finance Manager approval and meet appropriatedeadlines.E-invoices: Responsible for validating daily E-invoices.Job DescriptionConfidentialFixed assets: Responsible for validating fixed assets addition and depreciation method. Responsible updates fixed assets reports.Medical insurance: validate medical insurance Addition and deletion. validate medical insurance tracker monthly.`Work permit Operation: validate Work permit invoicing and cost. validate Work permit tracker monthly.Accounting Services clients: Responsible for validating & reviewing Monthly reports for clients. Handle all onboarding and ongoing accounting services clients calls until the person responsible isready to take over. Attending all accounting clients calls for tax purposes. Plan accounting services for clients' monthly work Assange accounting services tasks team with guidance Tracking the ticketing system and making sure the team replies within the agreed SLA withclients. Make sure to meet the client's deadlines ( Monthly reports / Taxes / Payments / E invoices ) Report with all the client cases Make sure the team follows each client reporting process. Make sure the team use all client's portal as per the client process.Tax Filings: Review and validate for in-house, accounting clients and payroll clients all monthly, quarterly andannual reports and reconciliations. Ensure all filings are uploaded on tax portal for Finance Manger approval.Payroll reviews: New payroll clients: review first month payroll calculations and formulas on payroll software toensure accuracy. Report quarterly which clients were reviewed. Sample check on a quarterly basis of 3 payroll clients calculation, formulas and provide a report onfindings and clients chosen as sampleWorking Place: Cairo,Egypt

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