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Job Description

  • Assist in the preparation of financial statements and reports.
  • Reconcile bank statements and other financial records.
  • Prepare and file tax returns and other compliance documents.
  • Manage petty cash and perform regular audits.
  • Process accounts payable and receivable transactions accurately and timely.
  • Maintain accurate records of financial transactions and data.
  • Communicate with vendors, clients, and other stakeholders as needed.
  • Keep up-to-date with relevant accounting regulations and best practices.