Posted By Gulf Recruitments
Kuwait City - Compiles and sorts documents, such as invoices and cheques, sustaining business transactions. Preparing journal vouchers, accounts statement, etc. Follow and Reconciles general ledger accounts with various registers. Reconcile bank & Securities custodian statements. Review day-to-day processing of accounting activities, cash, and processing payments. Prepare and review all accounts payable and data in a timely and accurate manner. Reconcile the accounts receivables to ensure that all payments are accounted properly on a weekly, monthly and yearly basis. Preparing month-end account closing activities and reconciliations. Interact with external and internal auditors and providing information for them. Support Accounts in the preparation of annual budgets and preparation of budgetary controls reports. Any other responsibility that may be permanently or temporarily assigned to him....

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