- Collaborating with internal departments to gather, analyze, and interpret relevant financial information.
- Performing audits on financial data to assure its accuracy and truthfulness.
- Ensuring that financial information complies with professional and regulatory standards.
- Aligning general ledger accounting practices to support budgeting and forecasting.
- Entering financial data such as accruals, deferrals, reclassifications, and interdepartmental entries into the ledger on a monthly basis, as well as preparing reports.
- Performing account analysis to ensure that journal entries and balances are correct.
- Reconciling accounts with the general ledger.
- Gathering supporting documentation and performing recordkeeping.
- Keeping abreast of regulatory requirements and best practices in accounting.
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Tax Recon Associate
منذ أسبوع
Nestle egypt Cairo, مصر+ Execute accurately and in accordance with Market deadlines the agreed Tax Activities. · + Preparation of all necessary files for Tax filing and other Tax Activities. · + Meeting agreed SLA's and KPI's. · + Ensure efficient and proactive cooperation with different levels of the ...
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AO Bank Recon Associate
منذ 5 أيام
Nestle egypt Cairo, مصر+ Perform daily bank reconciliations for multiple bank accounts. · + Ensure accuracy and completeness of all bank transactions by comparing bank statements with Bank General ledger. · + Investigate and resolve any discrepancies or variances identified during the reconciliation pr ...
GL Recon Associate - Cairo, مصر - Nestle egypt
وصف
Responsiblity: