Bank Jobs - Beirut Lebanon
66 Jobs Found
Job Summary
<br>The Senior Accountant is responsible for managing accounts payable and receivable, performing bank reconciliations, and ensuring accurate financial records. This role supports the Chief Accountant in maintaining the organization’s financial stability and compliance with regulations.
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<br>Key Responsibilities
<br>Accounts Payable and Receivable
<br>• Manage the accounts payable process, ensuring timely and accurate payment of invoices.
<br>• Oversee accounts receivable, including invoice issuance and follow-up on collections.
<br>Bank Reconciliation
<br>• Perform monthly bank reconciliations to ensure accuracy between bank statements and internal records.
<br>• Investigate and resolve discrepancies in a timely manner.
<br>Suppliers’ Reconciliation
<br>• Conduct regular reconciliations of supplier accounts to ensure consistency and resolve discrepancies.
<br>• Maintain clear and organized records of supplier transactions.
<br>Financial Reporting and Support
<br>• Assist the Chief Accountant with month-end and year-end closing processes.
<br>• Prepare and provide accurate financial data for reporting and audits
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<br>Qualifications
<br>Education and Experience
<br>• Bachelor’s degree in Accounting, Finance, or a related field.
<br>• 3+ years of experience in accounting, with a focus on accounts payable and receivable.
<br>________________________________________
<br>Skills and Competencies
<br>• Strong knowledge of accounting principles and reconciliation processes.
<br>• Proficiency in accounting software and Microsoft Excel.
<br>• Excellent analytical and problem-solving skills.
<br>• Strong attention to detail and organizational skills.
<br>• Ability to work independently and meet deadlines
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<br>Key Performance Indicators (KPIs):
<br>Accounts Management
<br>• Timely and accurate processing of accounts payable and receivable.
<br>• Reduction in overdue payments and receivables.
<br>Reconciliation Accuracy
<br>• Timeliness and accuracy of bank and supplier reconciliations.
<br>• Reduction in reconciliation discrepancies over time.
<br>Collaboration and Support
<br>• Positive feedback from the Chief Accountant on performance and support.
<br>• Timely completion of tasks related to month-end and year-end closings
Reputable industrial company at Ziad Rahbani Highway is seeking for a Female Accounting Assistant:
<br>BA, 3 years’ experience
<br>- Strong communication skills
<br>- Analytical & Conceptual Skills
<br>- storage and security of documentations contracts related to all financial and organizations issues
<br>- Ensuring that’s every expense is properly documented
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<br>Responsibilities;
<br>- Processing daily accounting general ledgers entries
<br>- Data entry all transactions in- out into the accounting system
<br>- Check bank reconciliation
<br>- Monitor and review accounting and related system
<br>- Preparation of taxes and NSSF, VAT papers
<br>- Filling, send fax, photocopy, send e-mail
<br>- Familiar with accounting software’s (is a plus)
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<br>Send your CV to: lebanonjob2015@gmail.com
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<br>WhatsApp 76-455000
Job Summary:
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<br>The Accountant will provide financial information to management by researching and analyzing accounting data; preparing reports. He will also supervise general accounting operations and control our financial transactions, reconcile account balances and bank statements٫ prepare month-end close procedures and ensure accuracy and effectiveness.
<br>Duties and Responsibilities include but not limited to:
<br>• Verify, allocate, post and reconcile accounts payable and receivable.
<br>• Assist with tax audits and tax returns.
<br>• Direct internal and external audits to ensure compliance.
<br>• Prepare and input the accounting entries on the accounting system.
<br>• Apply all procedures for recording, classifying, summarizing, and disclosing of transactions.
<br>• Review and make necessary adjustments to the payroll lists, payment slips, and related taxes.
<br>• Maintain and file accounting records, backups and supporting documents in a secure and appropriate environment.
<br>• Prepare bank reconciliation (Cash and Banks Accountant).
<br>• Track and maintain a complete list of cash receipts and disbursements and the relevant supporting documents (Cash and Banks Accountant).
<br>• Track and maintain a complete list and numbering of fixed assets (Fixed Assets Accountant).
<br>• Calculate and allocate periodic depreciation to fixed assets (Fixed Assets Accountant).
<br>• Track and maintain a list of vendors, suppliers and third party accounts payables (Accounts Payable Accountant).
<br>• Track and maintain a list of customers and other accounts receivables (Accounts Receivable Accountant).
<br>• Prepare aging reports (Accounts Receivable/Payable Accountant).
<br>• Supervising accounting staff
<br>• Review and manage accounts payables and receivables
<br>• Perform other clerical duties within the Accounting Unit.
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<br>Requirements and Qualifications
<br>- Bachelor’s Degree in Accounting,
<br>- Profound experience with typical accounting procedures.
<br>- Good experience with general ledger functions and the month-end/year-end close process.
<br>- Min 5 year’s relevant experience in the field of accounts/finance
Duties and Responsibilities
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<br>1. Daily Accounting Operations
<br>• Record and post all accounting entries (purchases, sales, payments, receipts, and journal entries) in the ERP/accounting system.
<br>• Handle invoices, credit notes, and expense claims, ensuring proper supporting documents.
<br>• Prepare and process bank deposits, transfers, and petty cash transactions.
<br>2. Reconciliation & Reporting
<br>• Perform daily, weekly, and monthly reconciliations of bank accounts, suppliers, and customers.
<br>• Assist in the preparation of monthly and year-end closing entries.
<br>• Generate and file basic financial reports under the supervision of the senior accountant.
<br>3. Accounts Payable & Receivable
<br>• Match purchase orders, goods received notes, and supplier invoices.
<br>• Follow up on customer payments and assist in maintaining updated AR and AP aging reports.
<br>• Support supplier and client communication on payment issues or discrepancies.
<br>4. Documentation & Compliance
<br>• Maintain organized and up-to-date accounting files, both electronic and physical.
<br>• Ensure all accounting documents comply with company procedures and internal audit requirements.
<br>• Cooperate with the internal auditor in providing requested data, explanations, or supporting documents.
<br>5. Support to Senior Accountant
<br>• Assist in VAT, NSSF, tax declarations, and statutory reports preparation.
<br>• Help in fixed asset recording and depreciation schedules.
<br>• Participate in stock counts and reconciliation of inventory records.
<br>________________________________________
<br>Skills & Competencies
<br>• Solid understanding of basic accounting principles (double entry, accruals, etc.)
<br>• Strong attention to detail and numerical accuracy
<br>• Good organizational and time management skills
<br>• Proficiency in MS Excel and accounting/ERP software
<br>• Team player with good communication skills
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<br>Qualifications and Skills
<br>• Bachelor’s degree in Accounting, Finance, or related field
<br>• 2–3 years of relevant experience (preferably in a manufacturing or trading environment)
<br>• Knowledge of Lebanese accounting and tax framework is an advantage
We are looking for an accountant to join our team.
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<br>Job Responsibilities:
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<br>Daily Accounting Operations:
<br>- Record and post all accounting transactions accurately and on time, including purchases, sales, payments, and receipts.
<br>- Ensure all entries are properly documented and recorded in the accounting system.
<br>- Maintain accurate financial records and support the preparation of financial reports.
<br>- Verify transaction details and reconcile discrepancies when necessary.
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<br>Reconciliation & Reporting:
<br>- Perform daily, weekly, and monthly reconciliations of bank accounts, supplier accounts, and customer accounts.
<br>- Identify and resolve discrepancies to ensure the accuracy and integrity of financial records.
<br>- Prepare reconciliation reports and support month-end and year-end closing activities.
<br>- Maintain accurate documentation and ensure compliance with company policies and accounting standards.
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<br>Accounts Payable & Receivable:
<br>- Follow up on customer payments to ensure timely collections and maintain healthy cash flow.
<br>- Maintain accurate and up-to-date Accounts Receivable (AR) and Accounts Payable (AP) aging reports.
<br>- Assist in processing supplier payments and monitoring outstanding balances.
<br>- Communicate with suppliers and customers to resolve payment issues, discrepancies, and account-related inquiries.
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<br>Documentation & Compliance:
<br>- Maintain accurate and organized financial records, ensuring all supporting documents are properly filed and easily accessible.
<br>- Verify the completeness and accuracy of accounting documentation before processing transactions.
<br>- Ensure compliance with company policies, accounting standards, and applicable tax and regulatory requirement.
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<br>Candidate profile:
<br>- Bachelor's degree in Accounting, Finance, or a related field.
<br>- 3 to 4 years of experience in accounting.
<br>- Proficiency in accounting software (preferably Navision) and Microsoft Excel
• Record and categorize financial transactions, ensuring accuracy and proper allocation in the accounting system. Maintain documentation and audit trails for all recorded transactions
<br>• Manage Accounts Payable by reviewing vendor invoices, procurement reports, obtaining approvals, and maintaining accurate and current vendor records by reconciling vendor statements monthly. Respond to supplier inquiries and resolve payment issues
<br>• Manage Accounts Receivable by issuing invoices, tracking customer payments, and following up on outstanding balances, monitoring the billing mail on daily basis
<br>• Manage third-party accounts and ensure statements are kept up to date and reconciled regularly.
<br>• Verify employees’ business and travel expense reports, including per diem claims, ensuring that all expenses are supported by receipts and are following company policies
<br>• Manage staff accounts, including advances, loans, and other amounts due, while following up on outstanding payments
<br>• Reconcile bank statements, credit card accounts, and other financial records to identify and resolve discrepancies
<br>• Maintain and monitor petty cash, ensuring all transactions are recorded with proper receipts and reconciled regularly
<br>• Oversee company debit card transactions by collecting receipts, verifying expenses, and posting entries accurately
<br>• Maintain accrual and prepaid expense schedules, ensuring they are accurate, up to date, and properly reconciled.
<br>• Monitor borrowing schedules and ensure related interest charges are accurately recorded in the accounting system and aligned with the underlying schedules.
<br>• Assist with month-end and year-end closing activities, including journal entries, accounts reconciliations, and financial reporting
<br>• Reconcile Regularly the cost and sales accounts ledgers with the technical reports (generated by Integra and Alaris)
<br>• Help compile data for budgets and forecasts, and report on variances between actual and estimated figures
<br>• Maintain organized and up-to-date financial records in both digital and physical formats, ensuring readiness for audits
<br>• Communicate with vendors, clients, and internal departments to resolve discrepancies and clarify financial issues
<br>• Continuously look for opportunities to improve accounting procedures and support the finance team with administrative tasks
Amaken is hiring a Senior Accountant for a poultry and agricultural company based in Lebanon.
<br>The Senior Accountant will be responsible for overseeing the company's accounting operations, ensuring the accuracy of financial records, preparing financial statements, and maintaining compliance with Lebanese tax and labor regulations.
<br>The ideal candidate has strong experience with trial balance preparation, month-end and year-end closing, Lebanese VAT, and NSSF reporting.
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<br>Key Responsibilities:
<br>• Maintain and oversee the company's general ledger and accounting records.
<br>• Prepare and review monthly, quarterly, and annual Trial Balances.
<br>• Prepare accurate financial statements, including the Statement of Financial Position, Statement of Profit or Loss, and Cash Flow Statement.
<br>• Perform month-end and year-end closing activities, including journal entries, accruals, and reconciliations.
<br>• Reconcile bank accounts, customer accounts, supplier accounts, and balance sheet accounts.
<br>• Ensure the accuracy and completeness of accounting transactions in accordance with accounting standards.
<br>• Prepare, review, and submit Lebanese VAT declarations while ensuring compliance with applicable tax regulations.
<br>• Handle NSSF calculations, declarations, and ensure compliance with Lebanese labor and social security requirements.
<br>• Monitor accounts payable and accounts receivable activities.
<br>• Assist in budgeting, forecasting, and financial analysis.
<br>• Coordinate with external auditors during annual audits and provide all required documentation.
<br>• Support management by preparing financial reports and providing insights to support business decisions.
<br>• Ensure compliance with company policies, accounting standards, and Lebanese financial regulations.
<br>• Identify opportunities to improve accounting processes and internal controls.
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<br>Qualifications:
<br>• Bachelor's degree in Accounting, Finance, or a related field.
<br>• 5 years of experience as a Senior Accountant or in a similar accounting role.
<br>• Strong knowledge of Trial Balance preparation and financial statement preparation.
<br>• Solid understanding of Lebanese VAT regulations and VAT filing procedures.
<br>• Hands-on experience with NSSF calculations, declarations, and compliance.
<br>• Strong knowledge of month-end and year-end closing processes.
<br>• Experience with accounting software or ERP systems.
<br>• Advanced proficiency in Microsoft Excel
Position Overview:
<br>The Junior Accountant is responsible for assisting the accounting department in maintaining accurate financial records, ensuring compliance with accounting principles, and supporting various accounting functions such as accounts payable/receivable, bank reconciliations, and month-end closing processes.
<br>Key Responsibilities:
<br>1. Accounts Payable & Receivable:
<br>o Assist in processing incoming and outgoing invoices.
<br>o Help track payments and receipts, ensuring all transactions are recorded accurately.
<br>o Follow up with vendors and customers for payment issues or discrepancies.
<br>2. Bank Reconciliations:
<br>o Assist in performing regular bank reconciliations to ensure accuracy between bank statements and company records.
<br>o Resolve discrepancies in a timely manner.
<br>3. General Ledger Maintenance:
<br>o Help maintain the general ledger by posting journal entries for routine transactions.
<br>o Assist in categorizing and reconciling accounts to ensure financial statements are accurate.
<br>4. Ad-Hoc Tasks:
<br>o Assist with various finance and accounting-related projects as needed.
<br>o Provide general administrative support to the accounting team.
<br>Qualifications:
<br>• Education:
<br>o A Bachelor's degree in Accounting, Finance, or a related field
<br>• Experience:
<br>o Minimum one year experience in same position.
<br>• Skills & Competencies:
<br>o Strong understanding of basic accounting principles.
<br>o Familiarity with accounting software
<br>o Proficient in Microsoft Office Suite (Excel, Word, Outlook), especially Excel.
<br>o Strong attention to detail and accuracy.
<br>o Ability to work under pressure and meet deadlines.
<br>o Good communication and interpersonal skills.
<br>o Strong problem-solving abilities and a willingness to learn.
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<br>Key Attributes:
<br>• Attention to Detail: High attention to detail and accuracy in data entry and financial reporting.
<br>• Organizational Skills: Ability to manage multiple tasks and prioritize effectively.
<br>• Team Player: Works well with others in a collaborative environment.
<br>• Proactive: Able to anticipate needs and take initiative
Assist with daily accounting transactions and data entry.
<br>Handle invoices, payments, receipts, and supporting documents.
<br>Assist with bank, supplier, and customer reconciliations.
<br>Support accounts payable and receivable activities.
<br>Maintain accurate accounting records and filing.
<br>Assist with monthly closing and financial reporting.
<br>Perform other accounting duties as assigned
???? Requirements | 2–5 Years of Experience
<br>• Perform daily accounting data entry and maintain accurate financial records.
<br>• Review and process accounts payable and receivable.
<br>• Monitor and record expenses, revenues, invoices, and payments.
<br>• Reconcile bank, supplier, and customer accounts.
<br>• Assist with monthly and year-end closing and financial reporting.
<br>• Follow up on outstanding receivables and payables.
<br>• Maintain proper supporting documents and accounting files.
<br>• Assist with VAT/tax reports and audit requirements.
<br>• Identify and resolve accounting discrepancies.
<br>• Support senior accountants with daily finance and accounting tasks.
<br>???? Location: Beirut, Lebanon
<br>???? To Apply:
<br>Please send your CV to: mmjm78@hotmail.com
Manage financial records and ensure accurate, compliant reporting.
<br>Responsibilities:
<br> • Daily transactions, AP, AR, GL
<br> • Bank + account reconciliations
<br> • Tax compliance & filings
<br> • Support audits
<br> • Monitor cash flow
<br>Requirements:
<br> • Degree in Accounting/Finance
<br> • 3+ years experience
<br> • Excel + accounting software
<br> • Knowledge of local tax laws
<br>Apply via: eliane.kalhat@gmail.com
Job Purpose
<br>The Junior Accountant will support the Finance Department in day-to-day accounting operations,
<br>including accounts payable, accounts receivable, general ledger reconciliation, bank reconciliation,
<br>expense processing, and financial reporting. The role assists in preparing accurate financial records
<br>and supporting month-end and year-end closing processes while ensuring compliance with Lebanese
<br>accounting standards and internal controls.
<br>Key Responsibilities
<br>1. Accounts Payable & Expense Processing
<br>• Process and record vendor invoices and purchase orders into the accounting system.
<br>• Verify invoice accuracy, coding, and supporting documentation before payment.
<br>• Prepare payment schedules and assist with processing payments to vendors.
<br>• Maintain vendor files and vendor master data.
<br>• Follow up on outstanding vendor invoices and discrepancies.
<br>• Process expense reports and reimbursements from employees.
<br>• Reconcile supplier statements and resolve discrepancies.
<br>2. Accounts Receivable & Collections
<br>• Record customer invoices and revenue transactions in the accounting system.
<br>• Monitor accounts receivable aging and follow up on overdue invoices.
<br>• Prepare customer statements and send payment reminders.
<br>• Process customer payments and apply receipts to appropriate invoices.
<br>• Coordinate with Sales and clients on billing inquiries and discrepancies.
<br>• Maintain accurate customer master data and contracts.
<br>• Support credit management and collections procedures.
<br>3. General Ledger & Bank Reconciliation
<br>• Post daily transactions to the general ledger.
<br>• Reconcile bank statements with company bank accounts on a monthly basis.
<br>• Identify and resolve reconciling items and timing differences.
<br>• Monitor and record inter-company transactions and transfers.
<br>• Prepare and document journal entries for period-end adjustments.
<br>• Support the Finance Manager with account reconciliations.
<br>4. Payroll Support & NSSF Processing
<br>• Assist with payroll processing and validation of employee data.
<br>• Support NSSF and tax deduction calculations and documentation.
<br>• Maintain payroll records and supporting documentation.
<br>• Process employee reimbursements and benefits.
<br>• Coordinate with HR on payroll-related inquiries.
<br>5. Month-End & Year-End Support
<br>• Assist with month-end account reconciliations and closing checklists.
<br>• Prepare supporting schedules and documentation for financial statements.
<br>• Support the preparation of financial reports and management reports.
<br>• Assist with audit preparation and coordinate with external auditors.
<br>• Maintain organized closing documentation and records.
<br>6. Record Keeping & Compliance
<br>• Maintain organized filing systems for invoices, receipts, and supporting documents.
<br>• Ensure accurate and timely record-keeping of all transactions.
<br>• Support compliance with Lebanese accounting standards and internal controls.
<br>• Assist with audit and government reporting requirements.
<br>• Maintain confidentiality of financial and company information.
<br>Key Requirements
<br>• Bachelor's degree in Accounting, Finance, Business Administration, or a related field.
<br>• 1–3 years of experience in accounting, finance, or a similar role.
<br>• Knowledge of Lebanese accounting standards and practices.
<br>• Proficiency in MS Excel, Outlook, and accounting software (experience with accounting
<br>systems preferred).
<br>• Strong attention to detail and accuracy in financial record-keeping.
<br>• Excellent organizational and time-management skills.
<br>• Ability to meet deadlines and handle multiple tasks simultaneously.
<br>• Understanding of basic accounting principles and financial reporting.
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<br>Please send your cv to 76-597894 (Priority to candidates living near Keserwan and Maten)
•Control daily accounting transactions and review accounting reports (invoices, receipts, returns, others)
<br>•Receive daily payment by cash, checks, transfer and others and submit email to concerned parties
<br>•Collaborate with Accountant Manager to finalize and update Collection Reports, monthly and the inventory, every 6 months
<br>•Organize files & documents, daily
<br>•Ensure month-end closes, prepare and enter monthly journal entries, bank reconciling, invoicing, clients employees related NSSF and verify cash sheets are being completed promptly and accurately
<br>•Process cash receipts to Tenant accounts and process/pay vendor invoices
<br>•Maintain balance sheet schedules for utilization in the correct reporting of monthly financials and reconciliation of balance sheet accounts
<br>•Follow up contracts with vendors, yearly
<br>•Ensure and verify proper allocation of expenses, revenues, interests and fees calculations, ensure it’s in line with signed agreements & advise financial commitments & future revenues
<br>•Reconcile all accounts (supplier, petty cash, bank) in order to make sure that all data entered is correct, monthly
<br>•Prepare and follow up payment of all taxes (VAT quarterly, income tax quarterly, NSFF...), quarterly/yearly
<br>•Continuous management and support of budget and forecast activities, yearly
<br>•Financial audit preparation and coordinate the audit process
Record and maintain financial transactions and accounting entries.
<br>Assist with accounts payable and receivable activities.
<br>Prepare bank and account reconciliations.
<br>Support month-end closing and financial reporting.
<br>Verify invoices, payments, and supporting documents.
<br>Assist with audits and other finance-related tasks.
<br>Ensure accurate and timely filing of financial records.
<br>Work closely with the Finance team to support daily accounting operations
We're Hiring: Accountant | Beirut
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<br>We are recruiting an Accountant for a company based in Beirut.
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<br>Requirements:
<br>Bachelor's degree in accounting, Finance, or a related field
<br>Minimum 5 years of accounting experience
<br>Strong knowledge of financial reporting, taxation, accounts payable/receivable, bank reconciliations, and Lebanese accounting regulations
<br>Experience supporting group reporting and consolidation is a plus
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<br>???? Interested? Send your CV to recruitment@bso.com.lb
<br>???? Mobile: 79-110040
Job description:
<br>• Journal entries and account postings
<br>• Support senior accountants with workload review/distribution
<br>• Prepare bills and expense reports with proper documentation
<br>• Reconcile bank statements, accounts payable, and receivable
<br>• Administrative support (filing, organizing records)
<br>• Assist in all aspects of finance team operations
<br>• Perform other tasks as required
<br>Educational background:
<br>Bachelor’s degree in Accounting, Finance.
<br>Technical skills:
<br> Familiarity with accounting software ( Dolphin, Excel , …)
Years of Experience: 2 to 4 years
<br>Education : Bachelor Degree in Finance and Accounting
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<br>Job Description :
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<br>- Report accounting problems to Senior Accountant.
<br>- Prepare & Document journal vouchers
<br>- Control proper approval of the transaction
<br>- Handle receipt and payment vouchers, and invoices entries.
<br>- Issue invoices, debit, and credit notes.
<br>- Open new clients’ accounts
<br>- Issue and prepare invoices and payment receipts
<br>- Communicate with concerned department to understand department related operations
<br>- Control clients’/ suppliers accounts and transactions
<br>- Reconcile accounts (banks, suppliers, clients, inter-companies)
<br>- Record accounting information of the companies
<br>- Update accounting data in a timely manner
<br>- Responsible of daily cash payments/ end of day closing and end of month closing.
<br>- Reconcile general and subsidiary bank accounts by gathering and balancing information
<br>- Ensure all entries are matching to taxation law and policies.
<br>- File individual documents
<br>- Consolidate all information and reports
<br>- Ensure all the data and reports are accurately transferred to accounting management error free
Role Description
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<br>The Accountant will support the finance team with day-to-day accounting operations in an on-site, full-time role based in Beirut Governorate, Lebanon. Responsibilities include recording and posting journal entries, assisting with accounts payable and receivable, reconciling bank statements, and maintaining accurate ledgers. The role also involves preparing basic financial reports, supporting month-end and year-end closing activities, and ensuring compliance with internal policies and relevant accounting standards. The Accountant will collaborate with other departments to collect financial data, respond to routine inquiries, and help improve financial processes that support the growth of the fashion house.
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<br>Qualifications
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<br>• Strong foundation in basic accounting principles, journal entries, and general ledger maintenance.
<br>• Ability to work with accounts payable and accounts receivable, including invoice processing and payment tracking.
<br>• Experience or training in bank reconciliations, expense tracking, and assisting with financial reporting.
<br>• Proficiency with accounting software and MS Office (especially Excel) and comfort learning new digital tools.
<br>• Excellent attention to detail, numerical accuracy, and strong organizational skills.
<br>• Effective written and verbal communication skills, with the ability to collaborate across teams.
<br>• Bachelor’s degree in Accounting, Finance, or a related field preferred; relevant internships or entry-level experience are an advantage.
<br>• Integrity, discretion in handling confidential information, and a proactive, learning-oriented mindset.
<br>• Interest in the fashion or luxury industry and willingness to work on-site in Beirut Governorate, Lebanon
Exclusive Brand SARL is seeking an experienced and detail-oriented Senior Accountant to manage the company’s day-to-day accounting activities, financial records, reporting, reconciliations, and compliance requirements.
<br>Minimum of 3 years of accounting experience, strong analytical skills, excellent attention to detail, and good knowledge of Lebanese accounting and taxation requirements.
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<br>Key Responsibilities
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<br>• Manage and maintain accurate accounting records and general ledger entries.
<br>• Handle accounts payable and accounts receivable.
<br>• Prepare and follow up on customer and supplier statements and reconciliations.
<br>• Perform monthly bank reconciliations and monitor cash and bank transactions.
<br>• Prepare monthly, quarterly, and annual financial reports.
<br>• Assist in preparing Profit & Loss Statements, Balance Sheets, and Cash Flow reports.
<br>• Monitor company expenses, payments, collections, and outstanding balances.
<br>• Manage invoicing, credit notes, debit notes, and payment documentation.
<br>• Follow up on customer collections and aging reports.
<br>• Maintain accurate inventory accounting and coordinate stock reconciliation with the warehouse and operations team.
<br>• Monitor landed costs related to imported goods, including freight, customs, and other related expenses.
<br>• Assist management with budgeting, cash-flow planning, cost control, and financial analysis.
<br>• Ensure proper filing and documentation of all accounting transactions.
<br>• Coordinate with external auditors, banks, suppliers, customers, and relevant authorities when required.
<br>• Assist with VAT, taxation, payroll, NSSF, and other statutory accounting requirements applicable in Lebanon.
<br>• Ensure compliance with company accounting policies and internal controls.
<br>• Report any financial discrepancies or irregularities to management.
<br>• Support management with financial information required for business decisions.
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<br>Qualifications & Experience
<br>
<br>• Bachelor's degree in Accounting, Finance, Business Administration, or a related field.
<br>• Minimum 3 years of relevant accounting experience.
<br>• Previous experience in a trading, importing, or distribution company is highly preferred.
<br>• Good knowledge of Lebanese accounting, VAT, taxation, and NSSF procedures.
<br>• Strong knowledge of Microsoft Excel and Microsoft Office.
<br>• Experience using professional accounting/ERP software.
<br>• Good command of English and Arabic, written and spoken
The Accountant is responsible for maintaining and reconciling all payable account and issues payment vouchers. S/He is responsible for the preparation of the monthly payroll for the company employees.
<br>S/he is involved in the preparation of periodical governmental employment related reports.
<br>S/he handles information in strict confidentiality.
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<br>Responsibilities:
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<br>Handle all suppliers’ accounts by processing and settling statements.
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<br>Prepare, post payments, and process bank transfers.
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<br>Process letters for bank transfers and files the appropriate documents.
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<br>Prepare financial reports such as profit and loss statement.
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<br>Prepare budget (project cash) for each project with follow-up and updating at each deviation.
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<br>Prepare cash-flow projection by determining daily, weekly, and monthly cash needs to meet the company’s expenditures.
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<br>Issue checks and reconciles petty cash.
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<br>Ensure that all payment entries are filed with supporting documents.
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<br>Maintain and reconcile all employees accounts.
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<br>Match vendor invoices against purchase orders in a timely manner as when submitted by suppliers.
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<br>Coordinate with the sales department and set up new customer accounts on the system.
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<br>Manage the payroll module by ensuring all data and information is current and complete.
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<br>Prepare & process monthly payroll, for staff, print and distribute pay slips. Prepare monthly salary report.
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<br>Prepare monthy income statements and balance sheet.
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<br>Prepare monthly & quarterly social security and income tax payments reports. Prepare quarterly VAT.
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<br>Assist with the periodic Audits (internal and external).
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<br>Maintain cost enter data entry (project by project) including transportation, engineering, administration, labor…
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<br>Maintain confidentiality of all payroll and data information.
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<br>Work Schedule: 7:30 a.m to 5:00 pm
<br>Every other Saturday 7:30 to 1:00