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  •  ...Responsibilities Assist in maintaining accurate financial records and accounting entries Process invoices, receipts, payments, and journal vouchers Reconcile bank statements and company accounts Support accounts payable and accounts receivable functions... 

    Grant Thornton Bahrain

    Seef
    3 days ago
  •  ...as relevant Financial Reporting Standards. What You’ll Do Maintain the general ledgers of the Company including subsidiaries, journal entry preparation, account reconciliations, and ledger analysis. Prepare journal entries, accruals, and adjustments to ensure... 

    Calo Inc.

    Seef
    26 days ago