Description
Key Responsibilities:
-
Validate petty cash docs of expenditure, post it and issue a replenishment cheque.
-
Review and approve the Bank reconciliation and communicate with the stakeholders are in charge to clear the pending items related to them on time.
-
Prepare and post manual entries be it adjustments & accruals &PEC related entries.
-
Releasing customers and distributors orders after checking the credit status.
-
FBTE accounts and Trial Balance preparation, and provide the external auditing partner with all the reports needed during the annual audit.
-
Facilitate our external auditors mission through providing the requested samples and communicate other streams are to answer on their inquiries and provide supported documents.
Personal Skills:
-
Bachelors’ of Business Administration or Accounting Graduate
-
1-2 years of relevant experience
-
Knowledge of SAP basics is a plus
-
Very good command of English
-
Proficiency in MS Office
Primary Location
: EgyptJob
: FinanceOrganization
: Nestle EgyptSchedule
: Full-timeJob Number:
16000AFH)
Description
Key Responsibilities:
-
Validate petty cash docs of expenditure, post it and issue a replenishment cheque.
-
Review and approve the Bank reconciliation and communicate with the stakeholders are in charge to clear the pending items related to them on time.
-
Prepare and post manual entries be it adjustments & accruals &PEC related entries.
-
Releasing customers and distributors orders after checking the credit status.
-
FBTE accounts and Trial Balance preparation, and provide the external auditing partner with all the reports needed during the annual audit.
-
Facilitate our external auditors mission through providing the requested samples and communicate other streams are to answer on their inquiries and provide supported documents.
Personal Skills:
-
Bachelors’ of Business Administration or Accounting Graduate
-
1-2 years of relevant experience
-
Knowledge of SAP basics is a plus
-
Very good command of English
-
Proficiency in MS Office