Reem
02-08-2023, 12:17 PM
- preparing vat & WHTfiles and submit to ZATCA- provide support & assist with month end closing & other tasks when requested - maintain of banks / receivable / payables reconciliation statements - issuing VAT invoices and ensures processed and time- bank payments & petty cash management- respond to supplier,s day- to day queries and requests
أكثر... (https://www.wadhefa.com/view.php?job_id=69663)
أكثر... (https://www.wadhefa.com/view.php?job_id=69663)