Analyze financial information and summarize financial status Review and recommend modifications to accounting system and procedures Preparation of all Bank LettersPreparation of writing chequesReconciliation of all banks Statement of Accounts with our books of AccountsPreparation of dues clearance final settlement of employees on vacation leave resigned and cancellationParticipate in Financial Budget Preparation and PlanningDirect internal and external audits to ensure compliance Prepares and records asset liability revenue and expenses entries by compiling and analyzing account information
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