M U S H A W A R

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Job Detail
Category

Finance

Functional Area

Account Finance

Location

Karachi

Job Type:

Full Time/Permanent

Qualifications

A relevant bachelor’s degree plus either CPA (or equivalent professional

certification) or MBA.

M&A experience is a must for all roles leading acquisitions and import teams.

Excellent English communication skills

Experience
2-3 Years
Offered Salary

Market Competitive

Job Description

Job Description:

Accountant will be responsible for assisting with the preparation of month end

closing procedures, will work closely with the rest of the accounting team and

will be familiar with US GAAP practices.

Maintains and controls the General Ledger accounts and business transactions

of the organization, applying the Generally Accepted Accounting Principles

(GAAP) that includes analytical work and a thorough review of financial

records.

Experience with QuickBooks Enterprise highly preferred. Experience with a US based accounting environment preferred

Responsibilities:

Assist the Controller with the day-to-day, monthly and year-end operations of

the Accounting/ Finance Department.

Manage the processing receipts, recording of revenue and receivables.

Prepare month-end reconciliations of the balance sheet accounts;

investigating and explaining any variances or unreconciled items

Provide detailed analyses and explanations of transactions

Prepare general journal entries.

Prepare 1099

Analyze information and options by developing spreadsheet reports; verifying

information.

Provide accounting support for mergers and acquisitions by reviewing financial

information; converting data to general ledger system; obtaining supplementary

information for preparing financial statements.

Skills

Assist the Controller with the day-to-day, monthly and year-end operations of

the Accounting/ Finance Department.

Manage the processing receipts, recording of revenue and receivables.

Prepare month-end reconciliations of the balance sheet accounts;

investigating and explaining any variances or unreconciled items

Provide detailed analyses and explanations of transactions

Prepare general journal entries.

Prepare 1099

Analyze information and options by developing spreadsheet reports; verifying

information.

Provide accounting support for mergers and acquisitions by reviewing financial

information; converting data to general ledger system; obtaining supplementary

information for preparing financial statements.

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