1.Preparing financial statements under Egyptian Accounting Standards and International Financial Reporting Standards.
2.Preparation of bank reconciliation statements.
3.Preparing & submitting the security documents to the banks and financial institution.
4.Preparing different management information reports as and when required by management.
5.Preparing payment vouchers and cheques for the lease disbursements.
6.Verifying that all required documents and approvals are in place before processing lease disbursements.
|Job Role:||Accounting and Auditing|
|Company Industry:||Financial Services|
|Career Level:||Entry Level|