- Manage day to day accounting operations - Manage and ensure accuracy of all general ledger information - Manage and prepare salaries, commissions and gratuity payments and accruals for staff - Prepare bank reconciliation for the business bank account and clients bank account - Monthly reporting of financial information to the Regional Financial Controller - Liaising with client and tenants - Preparation of statutory and monthly management accounts, including cash and performance forecasts - Ensure compliance with group and general corporate governance - Lead on the implementation and improvement of operational and financial systems - Assist with local year end audits - Improve process currently in place to ensure efficiency - Assisting with VAT return and WHT - Payroll preparation and ledger entry - Cost control and vendor contract analysis - Dealing with audit requirements, being involved in the audit planning process and ensuring timelines are met - Monitoring actual and forecasted spend against budget for the Project
- Currently based in Cairo (candidates based outside of Cairo will not be considered) - At least 4 years experience of working in a hands-on role in a professional services business - Understanding and practical knowledge of client monies procedures - Ability to translate finance into concepts and presentations readily understood by non-financial personnel - Excellent understanding of accounting process and procedures - Strong competence in Excel, Outlook, Power point and Word - Ability to work under pressure and manage several tasks at the same time - Excellent communication skills (written and oral), both Arabic and English - Good organizational skills and attention to detail - Able to work to tight deadlines
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