Maintain and update financial records, ensuring accuracy and compliance with company policies and applicable regulations.
Prepare and process journal entries, invoices, and payments in accordance with accounting principles.
Reconcile bank statements and manage accounts payable and receivable actively.
Assist in the preparation of monthly financial statements and reports for management review.
Conduct audits of financial documents to ensure compliance and accuracy.
Support the annual audit process by providing necessary documentation and explanations.
Collaborate with the finance team on budgeting and forecasting activities.
Adhere to internal controls and policies to safeguard company assets.
Provide financial information and guidance to other departments as needed.
Perform ad hoc financial analysis to support business decisions.
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