Education: minimum accounting/financial expert
work experience: at least 5 years
familiarity with Excel for financial reporting
familiarity with business, insurance and tax laws
familiarity with financial feasibility software
Good communication skills with applicants
Good writing skills to prepare reports
Ability to analyze and interpret financial statistics
Wage and tax laws
Finance and accounting principles
Feasibility assessment skills Economic plans and projects.
Forecasting, planning and presenting the company's budget plan based on the announced plans and requests from other units.
Participating in planning and presenting proposals and financial policies and monitoring their implementation.
Preparing and adjusting the line Financial policies, instructions, methods and procedures and the preparation and design of the required forms, in order to create coordination in the financial affairs of different units. Planning to provide the financial resources needed by the units and apply management to them. >Keeping financial records and documents, controlling financial activities.
Salary accounting, tax affairs on a regular basis
Cooperation in the financial feasibility of projects
Long-term forecasting and planning of the necessary funds for investment in projects With the coordination of the CEO.
Checking the rate of return on investment for invested projects.
Compiling the cost price of products and services and submitting its report to the CEO.
Checking the financial status of the company's projects, including the amounts received from the project. and commenting on them and analyzing discrepancies.
Monitoring and control actions in order to properly implement laws, regulations, instructions and financial circulars in different units.
Classification of accounts and, if necessary, classification of goods and coding Inventories and warehouse
Using financial software systems to carry out financial affairs.
Following up the amount of claims collected from the contract parties.
Supervision and control in order to preserve and maintain the company's property and assets.
> Breakdown and analysis of the balance sheet and profit and loss and expenses of different units. Planning and controlling items in order to manage the company's assets and working capital and planning to provide the credit required by different units based on the annual budget plan. Evaluation of the units' performance. According to the reviews and results of financial reports and presenting reports to superiors.
Participating in the economic feasibility process for customer requests according to the discretion of the executive management.
Setting up financial reports based on the needs of the organization and presenting them to management. .
Planning in order to audit at the end of the financial year with the discretion of the superior.
Checking and implementing the financial status of planned activities and analysis and analysis of deviations.
این آگهی از وبسایت ایران تلنت پیدا شده، با زدن دکمهی تماس با کارفرما، به وبسایت ایران تلنت برین و از اونجا برای این شغل اقدام کنین.