
General Accountant
- Jeddah, Makkah
- Permanent
- Full-time
- WPS and Staff Provisions
- Bank Reconciliation.
- Business Payments Management and Preparation for approvals from FM.
- Prepayment, Monthly Provisions, Accruals Schedules, and monthly amortizations
- Accounts Payable and Receivable Aging reports.
- VAT and Zakat, Income Tax submission.
- Internal Audits and assistance for external audits.
- Costing and variance analysis.
- Budgeting Master Budgets, Sales and Cost Budgets, Staff Cost Budgets and Operational Budgets, and Forecasting ( Cash Flow Forecasting, Sales and expenses forecasting, and profit and loss forecasting).
- Monthly and yearly financial Reports: Balance Sheet, Profit and Loss, Cash Flow Statement.
- Financial Ratios analysis and critical review.
- Inventory Management
- Management Reporting
- Cash and Liquidity Management
- Fixed Assets Management