
Accountant
- Kuwait City
- Permanent
- Full-time
- To efficiently and accurately reconcile financial transactions and balances in the company records to supporting documentation.
- To perform regular bank reconciliations, ensuring that all discrepancies are identified, investigated, and resolved promptly.
- To carry out intercompany reconciliations, ensuring all intercompany balances are matched, documented, and resolved in a timely manner.
- To support the month-end closing process by preparing necessary journal entries, reconciliations, and reports to ensure timely and accurate financial reporting.
- To be an effective team player and contribute to the timely delivery of accurate accounting information.
- To maintain compliance with company policies in the area assigned, proactively s
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