محلل مالي
HSBC مصر
The ideal candidate will be involved with preparing financial reports and statements, bank reconciliations, and conducting cyclical audits.
Monitoring bank accounts and submitting a statement of the daily debit and credit balances
Completion and follow-up of bank transfers in accordance with internal or external procedures
Issuing the visa and following up the settlement of its balance
Implementation and follow-up of letters of guarantee, Q4, and the check cycle (issuing, following-up, and withdrawing checks) and applying them to the program
Preparing reconciliations for all bank accounts, whether current accounts or loans and facilities, monthly, knowing the reasons for the differences and preparing settlement entries
Follow-up and settlement of the account of the due expenses
Review the cash movement in the treasury on a daily basis and the related vouchers of receipt and vouchers of checks
Keeping and managing all records and financial transactions.
Prepare and review reports: LG, Form 4, Payment Notice
Perform other duties related to the scope of work.
Bachelor's degree in Accounting or related fieldAbility to interpret and analyze financial statements and periodicalsFluency in Microsoft Office suite (Outlook, Excel, Word, PowerPoint, etc.)
Bachelor's degree in Accounting or related fieldAbility to interpret and analyze financial statements and periodicalsFluency in Microsoft Office suite (Outlook, Excel, Word, PowerPoint, etc.)
HSBC مصر
المصرية للاتصالات (وي)
البنك الأهلي المصري
Bahna Engineering