الخبرة : 5-8 سنة
الراتب : not mentioned
المكان : Egypt
تفاصيل الوظيفة
Job description
Qualifications and Certificates:
• Bachelor's degree in commerce English section, Major: accounting.
• Has IFRS/CMA
Experience and Knowledge:
- 5:8 Years of experience in Payable, Treasury, and audit.
- candidate should have experience with Oracle Fusion ERP system.
- Experience in payable activities including Supplier, Fixed Assets, Inventory & General Ledger.
- Having Excellent knowledge of Accounting Cycle, Process & Standards, how to implement it, and measure the impact on the financials.
Having a good audit background.
Skills and Abilities:
- Advanced MS Office: Word, Excel, Outlook, and PowerPoint
- Very Good English language skills
- Very Good in Research skills
- Very Good in conceptual skills
- Very Good in Communication skills
- Very Good leadership
- Strong ability to solve issues
- Has flexibility to deal with changes.
- The ability to concentrate on a task over a period without being distracted.
- Able to develop the workflow of Payable section.
- Able to work under pressure.
Key Responsibilities:
- Follow up the requests received from other department after making sure it includes full supported documents (daily)
- Vouch the expenses recorded
- Send following-up the outstanding invoices that still not received during the month (daily)
- Follow-up with team & make sure the invoices submit by other department (Procurement, Administration, HR) paid on time without any delay. (daily)
- Compare the budget expenditure with Actual and investigate for any unplanned/ major expenditure (monthly)
- Make sure to record the expenditure on the proper account based on the nature of expense. (daily)
- Follow up for outstanding advance and make sure to have clear and reasonable justification for each outstanding amount and take the proper action to close the balance. (daily)
- Make sure to record the prepayment amortization entry without any delay/ missing data.
- (Monthly)
- Make sure to record all monthly expenditure before monthly closing period and record an accrual for invoices/services that still not received (utilities, outsource, etc....) (Monthly)
- Give clear explanation for major expenditures
- Make sure there is no missing transactions not recorded before closing the month.
- Record the intercompany transaction without any delay and make sure to send confirmation for balances without any difference (Monthly)
- Follow-up with team to deliver the Reconciliation for payable department according to the deadline. (Monthly)
- Able to perform General ledger entries and reconcile the effect of these entries.
- Maintain files and documentation thoroughly and accurately, in accordance with company policy and accepted accounting practices.
- Contact with audit teams and answer their requirements.
- Make sure to have a proper capitalization process for FA and PUC. (daily)
- Participate at monthly/ year end closing.