Kuwait City - Control & Update all accounting records accurately & timely manner and ensure the detail allocation to Cost Centre, Department, Division, Projects, etc. are done correctly. Payroll processing for Company's Staff, Annual Leave & Indemnity as per Kuwait Labor Law. Preparation of Bank Reconciliation, Vendor Reconciliation & Customer Reconciliation. Entry of all kinds of vouchers such as Journal Entries, Receipts, Payments, Purchase & Sales. Monthly stock reconciliation & preparation of P&L for all Fields. To track the actual expenses for each fields & compare with Budgeted Expenses and report the variances if any. Reconcile the Subsidiary & Related Parties Ledger Accounts In-depth knowledge of accounting policies & principles. Maintaining supervision of books of accounts up to finalization. Physical Verification of Inventory & Reconciliation of the same with the books of accounts. Scrutiny of Debtors & suppliers accounts & their payments & reconciliation. Maintaining Fixed A...
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