chief accountant
United Leaders Company
Total des années d'expérience :2 years, 0 Mois
Create chart of account and chart of control account to accounting system.
Manage registration and audit all daily works.
Auditing accounts statement and Compliance with the Suppliers on a regular basis.
Recording Purchases, follow-up sales Invoices and Checking with warehouses and Provide Management with reports.
Audit Purchases and sales for each accounting Periods to manage its own tax, and report The Management.
Follow-up Checks Payable, under collection and manage of bank reconciliation and submit a report to the Management.
Preparing payroll for monthly staff and daily workers monthly.
Withdraw Trial Balance, and follow-up changes on the Assets, Liabilities and checked with the audit Office and submit a report to Management.
Finally, Follow-up Company in government departments, Tax, Income, and in Public Institution for Social Security.
Create chart of account and chart of control account to accounting system.
Manage registration and audit all daily works.
Auditing accounts statement and Compliance with the Suppliers on a regular basis.
Recording Purchases, follow-up sales Invoices and Checking with warehouses and Provide Management with reports.
Audit Purchases and sales for each accounting Periods to manage its own tax, and report The Management.
Follow-up Checks Payable, under collection and manage of bank reconciliation and submit a report to the Management.
Preparing payroll for monthly staff and daily workers monthly.
Withdraw Trial Balance, and follow-up changes on the Assets, Liabilities and checked with the audit Office and submit a report to Management.
Finally, Follow-up Company in government departments, Tax, Income, and in Public Institution for Social Security.
Create chart of account and chart of control account to accounting system.
Manage, registration and audit all daily works.
Auditing accounts statement and Compliance with the Suppliers on a regular basis.
Recording Purchases, follow-up sales Invoices and Checking with warehouses and Provide Management With reports.
Audit purchases and sales for each accounting Periods to Manage Its Own Tax, and report The Management.
Follow-up Checks Payable, under collection and Manage of bank reconciliation and submit a report to the Management.
Preparing payroll for monthly staff and daily workers monthly.
Withdraw trial balance, and follow-up changes on the Assets, Liabilities and Checked with the audit Office and Submit a report to Management.
Finally, follow-up company in government departments, Tax, Income, and in Public Institution for Social Security.