Job DescriptionRoles & ResponsibilitiesHandle day-to-day accounting transactions and bookkeepingPrepare journal entries, reconcile accounts, and maintain general ledgersManage accounts payable and receivable, petty cash, and bank reconciliationsAssist in preparing monthly, quarterly, and annual financial reportsCoordinate with internal departments and auditorsEnsure compliance with Oman VAT and other financial regulationsControl the Inventory and stock level along with transactionsSupport management with cost analysis and financial summariesAny other task required by management.
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