Ensure that all accounting and financial transactions and data are correctly implemented according to policies and procedures.
Ensure that all financial documents are accurately supported, approved and coded, and that all check books, check list, petty cash, POs (Purchase Order) are maintained correctly;
Reconciles general and subsidiary accounts (banks, vendors, affiliated companies,) by gathering and balancing information
Follow up and monitoring partners (regular visits, checking and posting all financial transactions and supporting documents received from partners)
Monthly closure of all accounting transactions
Assisting the external auditors in the preparation of all governmental dues and taxations as VAT, Salaries taxes and Social Security contributions.
Protects organization's value by keeping information confidential.
Updates job knowledge by participating in educational opportunities; reading professional publications
Willing and able to perform any other duties requested by the management within the area of competence.
- Lebanon
- Mount Lebanon
- Keserwan
- Jounieh
Interested Candidates should send their CVs to careers@avsi.org.lb with the name of the position in Subject.