Accountant
- Recruiter
- Career Hunters
- Location
- Manama, Bahrain
- Salary
- Competitive
- Posted
- 24 Dec 2018
- Closes
- 24 Dec 2018
- Ref
- 3867298
- Job role
- Accountant
\[Accountant with previous experience working in Real Estate Company
\[Able to deal with the Operations team, HR team , Management
\[Carry out day-to-day bookkeeping and finance/ accounting (payments/ receivables/ payroll) tasks that are subject to well-defined procedures
\[Settle vendor accounts and reconcile purchase orders/receipts
\[Produce routine daily reports and documents using financial reporting systems
\[Undertake analysis and ad hoc reports for use by the finance department, using manual or computerized records
\[Conduct standard accounting analysis using accounting tools and systems
\[Coordinate with various departments on accounting related activities
\[Conduct reconciliation of bank overdraft accounts
\[Supervise the input and handling of financial data and reports for the company's automated financial systems
\[Take control & custody of cheque books/ gift vouchers and adherence to the internal control.
\[Manage reconciliation of stock account with inventory records. - purchases - expenses - goods outwards
\[Handle reconciliation of prepayment control account with sub ledgers.
\[Conduct daily Sales Analysis and match collections / deposits made.
\[Coordinate for collections and deposit in banks.
\[Able to deal with the Operations team, HR team , Management
\[Carry out day-to-day bookkeeping and finance/ accounting (payments/ receivables/ payroll) tasks that are subject to well-defined procedures
\[Settle vendor accounts and reconcile purchase orders/receipts
\[Produce routine daily reports and documents using financial reporting systems
\[Undertake analysis and ad hoc reports for use by the finance department, using manual or computerized records
\[Conduct standard accounting analysis using accounting tools and systems
\[Coordinate with various departments on accounting related activities
\[Conduct reconciliation of bank overdraft accounts
\[Supervise the input and handling of financial data and reports for the company's automated financial systems
\[Take control & custody of cheque books/ gift vouchers and adherence to the internal control.
\[Manage reconciliation of stock account with inventory records. - purchases - expenses - goods outwards
\[Handle reconciliation of prepayment control account with sub ledgers.
\[Conduct daily Sales Analysis and match collections / deposits made.
\[Coordinate for collections and deposit in banks.