Maintain accurate financial records, including general ledger entries, expenses and other financial data.
Record all financial transactions in the accounting system, ensuring timely and accurate data entry.
Prepare monthly, quarterly, and annual financial statements in accordance with IFRS.
Perform regular reconciliations of bank accounts, accounts payable, and accounts receivable.
Investigate and resolve discrepancies in financial records.
Work closely with other departments to gather financial data and support financial decision making.
Provide training and support to staff on financial processes and policies.
Contribute to process improvements within the finance department.
Monitor and analyze excise tax regulations to ensure compliance with local, state, and federal laws.
Collaborate with the warehouse keeper to ensure accurate inventory management and reporting.
Assist in preparing supporting documentation for audits related to excise tax.
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