to manage cash transactions, maintain site accounts, and support day-to-day financial operations at our Abu Dhabi site. The ideal candidate will handle both cash management and accounts work, ensuring accuracy, compliance, and timely reporting.
Key Responsibilities:
Handle daily cash collection, deposits, and payments at the site.
Maintain accurate records of all cash transactions.
Prepare and maintain vouchers, receipts, and petty cash.
Support the preparation of invoices, expense statements, and site-related accounts.
Coordinate with the head office finance team for reconciliation and reporting.
Ensure timely settlement of vendor/supplier payments as per company policy.
Assist in preparing monthly reports related to site accounts and cash flow.
Maintain proper documentation for audits and compliance.
Monitor and control expenses at the site level.
Handle any additional finance or administrative tasks as required.
Requirements:
Bachelor's degree in Accounting, Finance, or related field.
Minimum 2-3 years of experience in accounting/cash handling (UAE experience preferred).
Knowledge of basic accounting principles and ERP/Accounting software.
Strong MS Excel and MS Office skills.
Good communication and coordination skills.
Ability to work independently and handle site-level responsibilities.
Must be based in/willing to relocate to Margham UAE (Dubai).
Salary Range : 2000-3000 AED
Job Type: Full-time
Pay: AED2,000.00 - AED3,000.00 per month
Location:
* Margham (Preferred)
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