Description
- Monthly checking of the Trial Balance
- Check the provisions accounts (Accruals & Deferrals).
- Control Journal Voucher entries and transactions.
- Control Payments.
- Control and follow up the reconciliation of the receivables.
- Issue the cost centers and the financials reports on monthly basis.
- Assist in the physical counts of inventories (Main stock, cars and fixed sites’ stocks).
- Control the billing of Spare Parts and extra projects.
- Track the receivables, and follow up with clients, and raise any concern to higher management when
- Issue the monthly Maintenance invoices.
- Monitor of monthly adjustment entries related to deferrals, accruals and invoices under preparation.
required.
- Generate report of aging receivables on weekly basis.
- Receive all financial claims from Clients and provide the best solution.
- Assist in external audit.
- Work under general direction within a clear framework of accountability.
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- Advise and provide technical assistance.
- Influence clients at account level and suppliers.
- Mentor and assist junior level accountants with application of accounting practices.
- Responsible for the preparation of documentation of all processes throughout the Accounting Department.
- Decisions influence success of project and team objectives.