Accounting/FinanceAdministrationFinancial data entryAccountingBank reconciliationAccounts payable and receivableMicrosoft Excel
Job Description
الوصف الوظيفي
Enter financial data accurately and in a timely manner.
Maintain organized documentation of invoices, receipts, and financial records for audit and compliance purposes.
Perform outdoor financial tasks, including collections from clients and handling transactions at banks (e.g., submitting documents, following up on transfers, or requesting bank statements).
Support in preparing reconciliations, journal entries, and basic financial reports.
Assist senior accountants with day-to-day accounting and administrative tasks.