: Preparation of MIS reports including P&L and Balance Sheet to provide feedback to the senior management on the financial and operational performance of the company. Verifying, allocating, posting and reconciling accounts payables receivables Producing error free accounting report and present their results Reconciling account balances, bank statements, maintaining General ledger and preparing month end and year end close procedure. Prepare financial statements and produce budget according to schedule. Manage Tax Audits and Tax returns Requirements Qualifications:
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