Responsible in handling account payables and receivables, maintaining financial recor, audit reports and reviewing and reconciling bank statements and cash management.
Job Responsibilities
• Handles, Issues and Reviews of Petty Cash
• Creates and Submits Petty Cash Report
• Receives and Checks Daily Cash Sales
• Reconciles and Create of Daily Sales Report
• Checks and Issues Delivery Charges for Riders / Drivers
• Helps in financial data entry and general bookkeeping
• Reconciliation of Accounts Statement
• Taking care of Credit Application and Payment Terms of the Vendors and forwarding the records for finance when required to make the payments
• Prepare receipts, vouchers, invoices, etc. for entry into data sheets
• Assist in preparation of financial statements and reports
• Update and maintain financial records
• Assist with audits as necessary
Must have minimum experience of 2 years in Accounting in Dubai / UAE.
Must have experience experience working in Accounting software such as Tally, SAP, Quickbooks etc,)
Must currently living in Dubai.
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