Training Description:
Preparing and organizing exchange documents, following up on revenue collection, documentation and analysis, preparing accounting entries, recording financial operations in records, auditing bank accounts, preparing necessary settlements, preparing reports and documents related to expenditures and revenues, and keeping them.
Training tasks:
- Auditing financial claims and ensuring the completeness of their legal and financial conditions, preparing, organizing and documenting exchange documents, and following up their auditing and approval for disbursement from approved supervisory authorities.
Monitoring current and capital expenditures according to the monthly financial position of the budget items, preparing the financial position and monthly summaries, and preparing and organizing the annual final accounts.
- Preparing accounting entries, recording financial operations in records, auditing bank accounts, and preparing the necessary settlements with monthly reconciliation statements
Developing accounting methods and procedures and keeping pace with scientific and technical development in the field of accounting
Preparing documents and specialized reports in the field of accounting for expenses and revenues and keeping them in the relevant database