GL Accountant (Egypt)
| Company Overview |
|---|
|
Since 2010, HNI has established itself as a leading regional player in the
learning and development field, providing exceptional corporate training
solutions and innovative human capital development services in English and
Arabic to organizations and corporations across the MENA region.
With a focus on cutting-edge digital solutions and gamified interactive learning modules, HNI has gained recognition as a dynamic L&D firm with four offices located in the UAE, KSA, Qatar, and Egypt. |
| Company Overview |
|---|
|
HNI has a global outreach and delivers its services to clients across the
USA, Asia, and Europe.
Our team of over 100 professionals includes expert L&D trainers and senior consultants with extensive experience working with top industries such as Oil & Gas, Banks, Aviation, Government Sectors, and Multinationals. The organization has grown significantly from one office and four employees in 2010 to more than 100 team members representing diverse nationalities. |
| Services Information |
|---|
|
HNI's primary services include Onboarding, Development Tracks, E-Learning,
Digitalization & Gamification & Team Building.
Other complementary services include Curriculum Design, Assessment, Consulting, Technical Training, Media & Marketing, Project Management, Coaching and Outsourcing. Watch this video to know more about our engaging culture: https://www.linkedin.com/feed/update/urn:li:activity:7299703409715154944 Website: www.hni.ae |
| Job Role / Objectives Overview |
|---|
| Finance & Accounting professional, responsible for coordinating within the department and other related departments for the day-to-day accounting functions, accounting transactions, verification of suppliers’ invoices, and maintaining accounting and tax records. The role also involves jointly working with the central accounting team on monthly closing and tax activities. |
| Key Responsibilities | |
|---|---|
| Posting Accounting Entries | Accurately record financial transactions in the accounting system. |
| Project Details Update | Maintain and update project-related financial data to ensure accurate reporting. |
| Petty Cash Management | Handle petty cash transactions, disbursements, and accounting. |
| Staff Reimbursement | Process employee expense claims and reimbursements while ensuring compliance with company policies. |
| Accounting Support | Assist in posting bank and cash entries, correction entries, and monthly fixed entries. |
| Month-End Closing Support | Work closely with the central finance team to support monthly closing activities, including reconciliations and data verification. |
| Tax Invoice Collection | Coordinate with various departments to collect and maintain proper documentation of tax invoices for compliance and reporting. |
| Benefits / Perks |
|---|
|
| Terms & Conditions | |
|---|---|
| Contract Type | Full Time Contract |
| Working Conditions | Sunday – Thursday / Hybrid mode with the possibility of 3 days from office and 2 days from home |
| Work Location | New Cairo, Egypt |
| Application Email | apply@hni.ae |
