To support the accounting and operational functions of the department by maintaining the books of accounts for entities/ locations assigned, perform month-end closings, accounting analysis and reconciliation, budgeting and forecasting, audit preparation and involvement in various other financial & operational activities.
• Accounting, month-end closing and audits
Liaise and collate source documents from various locations/ entities assigned, verify and maintain the books of accounts accurately for them.
Collate recoverable details from locations, maintain accurate records for them, raise invoices for recovery and prepare necessary recovery reports.
Exercise control over expenses on the locations/ entities assigned.
Prepare monthly closing reports in a timely manner.
Prepare and maintain various schedules, reconciliations and other accounting records as required.
Prepare annual financial statements, related schedules & reconciliations
Actively participate in periodical reviews and year-end audits.
• Budgeting and analysis
Prepare/ review annual budgets for various locations/ entities assigned.
Prepare variance analysis based on the budget.
Perform other various ad-hoc analysis.
• Operational activities
Verify and prepare payment instructions for various payment requests.
Prepare and process monthly payroll, manage staff insurance and maintain staff records as applicable.
Liaise with banks for follow-up on payment instructions, fund transfers and other related matters.
Perform various other operational activities as needed.
Abide by and adhere to the Company and Department’s policies & procedures.
Job Details
Date Posted: | 2014-06-19 |
Job Location: | Kuwait |
Job Role: | Accounting/Banking/Finance |
Company Industry: | Accounting/Auditing |
Preferred Candidate
Career Level: | Mid Career |
Degree: | Bachelor's degree / higher diploma |
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