Posted by Mohammad Akeem
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Budgeting, Cash Flow Management, Report Generation
Book Keeping, VAT Return, Zakat Return.
Accounts Reconciliation, Accounts Receivable, Accounts Payable.
Logistics Planning, Supply Chain Management, Logistics Management & Purchasing.
Demand Forecasting, Inventory Planning & Control, Standardized Policies & Procedures
Maintaining Logs, Records and Data, Coordination within Department, Stock Management
Freight Rate Negotiations, Relationship Management
Supply Chain Automation, Purchase Operations.
Leadership, Team Building, Motivation, Communication, Ability to work under pressure
Analytical Ability, Critical Thinking, Decision Making and Problem Solving, Time Management
Computer Related Skills: MS Office and Internet Usage
Responsible for day to day financial and accounting operations.
Responsible for bank reconciliation daily and monthly reconciliation.
Performing project cost forecasts/budgets cost tracking and cost controls.
To prepare the Monthly Financial Statements.
Maintain the accounting data related to the project from start to end.
Maintaining ledgers of individual customers. Checking the accuracy of petty cash records. Reviewing monthly trial balance and follow up on exceptions