- Record daily financial transactions (sales, purchases, expenses, revenue) using Excel.
- Post journal entries into general and sub-ledgers.
- Monitor and follow up on all incoming and outgoing bank transfers (local and international).
- Coordinate with banks and relevant parties to ensure smooth processing of transfers.
- Match transfers with supporting invoices and documentation.
- Perform regular bank reconciliations, focusing on accurate tracking of transfers.
- Organize and archive all accounting records, including transfer - documentation (digitally & physically).
Job Requirements
- Bachelor’s degree in Accounting or Finance.
- 0–2 years of experience in accounting (fresh graduates with strong Excel skills are welcome).
- Proven proficiency in Microsoft Excel, including:
- Advanced formulas (VLOOKUP, HLOOKUP, SUMIFS, IF, COUNTIFS , Pivot Tables)
- Strong attention to detail, especially in numerical accuracy and reconciliation.
- Experience in handling bank transfers is a plus.
- Organized and able to manage multiple records/documents efficiently.
About Business Building
Software Development
Dakahlia,
Egypt•
101-1000employees
BUSINESS BUILDING is a company located in Egypt, in our short time we managed to create a huge portfolio in both design and development, we are building a product that will change the way of controlling, and we a software house company specialized in Web development, android and IOS apps ...