preparing Financial Reports, Vat Reports,
Follow up with Suppliers & Customers accounts, collecting incorporating a variety of deductions into a periodic payroll, and issuing pay and pay-related information to employees, Receiveing payment by cash, check, credit cards, vouchers,Issue receipts, refunds, credits.
- Prepare journal entries.
- Update accounts receivable and issue invoices.
- Update accounts payable and perform reconciliations.
- Assist in the processing of balance sheets, income statements
and other financial statements according to legal and company
accounting and financial guidelines.
- Assist with reviewing of expenses, payroll records etc. as
assigned.
- Update financial data in databases to ensure that information
will be accurate and immediately available when needed.
- Assist with the month-end closing process, conducting research
and making correction journal entries for account discrepancies,
prepares closing journal entries
Prepare journal entries.
- Completes payments and controls expenses by receiving,
processing, verifying, and reconciling invoices.
- Match invoices to checks, obtain all signatures for checks and
distribute checks accordingly.
- Review all invoices for appropriate documentation and approval
prior to payment.
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- Prepare journal entries.
- Prepare asset, liability, and capital account entries by compiling
and analyzing account information.
- Document financial transactions by entering account
information.
- Recommend financial actions by analyzing accounting options.
- Prepare Withholding tax on invoices.
- Had the responsibility of the treasury
تصفيه فواتير المورديين والعملاء واعداد القوائم الماليه وقائمه الدخل
مسؤول عن تحصيل النقديه بالمنطقه الخاصه بفرع الدقهليه
وايضا المناقصات