Responsibilities

  • Performing a daily clearing for interim accounts.
  • Reviewing all facilities balance of invoice cash discounting & loans & LC& Guarantee.
  • Reviewing the accrued interest monthly.
  • Any other general accounting tasks to be assigned from the management.
  • Performing a daily bank reconciliation for all Banks across group companies.

Qualifications

  • Bachelor’s degree in Accounting or Finance.
  • 0-1 years of experience for entry-level position.
  • Strong time management and organizational skills
  • Knowledge of basic accounting principles
  • Advanced Microsoft Excel skills.