Finance Executive Jobs In Egypt And Career In Orient International for Trading - Land Mark group Vacancies In Cairo 2014
Employer Orient International for Trading - Land Mark group
Job Title Finance Executive
Country Egypt
Job Category Finance
Job Type Full Time
Description Financial Accounting & Transaction Settlements: Advise on pre-payment of Territory Oversee Monthly Insurance and stock declaration and get acknowledgements from the Insurance Companies Provide quarterly declaration to bank on stocks and debtors Reconcile GP with EDP figures Debtors turnover within the prescribed norms Reconcile import creditors penalty deduction with actual bank credit (monthly basis) Scrutinize Trial Balance / General Ledger entries Vouch Bank Payments Manage monthly Intra-company purchase and sale accounting and reconciliation Generate monthly MIS which includes P&L store wise and B/S Handle month end closure of all modules of APPS (Ledger Scrutiny) Ensure timely settlement, daily at end of day, of all the credit card sales with the merchant acquiring bank Budgeting & MIS: Provide exceptions and various Analysis Reports on MIS Assist in budget preparation/financial projections including cash flow statements Furnish all MIS related information to Corporate and RNA Manage the Capex budget for new stores across the concepts and all expenses budgets Prepare breakeven of the new projects Assist in preparation of Advertisement Budget
Qualifications Knowledge of Accounting Standards •Good knowledge of MS-Office •Knowledge of ERP Financial Packages (Oracle) •Verbal and Non Verbal Communication •Relationship Management •Resourcefulness •Problem Solving •Attention to Detail •Planning & Organizing *Bachelors Degree at least
Gender Male
Experience 3 - 5 Years.
Salary (L.E.) Negotiable
Job Contact Info. HR.egypt@landmarkgroup.com please write the title of the jon you are applying for in the title
Employer Orient International for Trading - Land Mark group
Job Title Finance Executive
Country Egypt
Job Category Finance
Job Type Full Time
Description Financial Accounting & Transaction Settlements: Advise on pre-payment of Territory Oversee Monthly Insurance and stock declaration and get acknowledgements from the Insurance Companies Provide quarterly declaration to bank on stocks and debtors Reconcile GP with EDP figures Debtors turnover within the prescribed norms Reconcile import creditors penalty deduction with actual bank credit (monthly basis) Scrutinize Trial Balance / General Ledger entries Vouch Bank Payments Manage monthly Intra-company purchase and sale accounting and reconciliation Generate monthly MIS which includes P&L store wise and B/S Handle month end closure of all modules of APPS (Ledger Scrutiny) Ensure timely settlement, daily at end of day, of all the credit card sales with the merchant acquiring bank Budgeting & MIS: Provide exceptions and various Analysis Reports on MIS Assist in budget preparation/financial projections including cash flow statements Furnish all MIS related information to Corporate and RNA Manage the Capex budget for new stores across the concepts and all expenses budgets Prepare breakeven of the new projects Assist in preparation of Advertisement Budget
Qualifications Knowledge of Accounting Standards •Good knowledge of MS-Office •Knowledge of ERP Financial Packages (Oracle) •Verbal and Non Verbal Communication •Relationship Management •Resourcefulness •Problem Solving •Attention to Detail •Planning & Organizing *Bachelors Degree at least
Gender Male
Experience 3 - 5 Years.
Salary (L.E.) Negotiable
Job Contact Info. HR.egypt@landmarkgroup.com please write the title of the jon you are applying for in the title