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Branch Accountant

COA Holding Company · Cairo, Cairo, Egypt

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Job PurposeResponsible for managing the accounting activities of the assigned branch and ensuring accurate recording, reconciliation, and reporting of branch financial transactions.Key ResponsibilitiesRecord and review daily branch financial transactions.Monitor cash collections and perform daily reconciliation.Review sales, payments, expenses, and supporting documents.Prepare daily and monthly branch financial reports.Reconcile cash, bank, and other payment channels.Follow up on outstanding balances and required documentation.Coordinate with the Finance Team and branch management.Ensure compliance with accounting policies and procedures.Apply here : monica.wassim@coaholding.com