Accountant With Financial Institution Experience

Fujairah, United Arab Emirates

Job Description

Accounts Activities: 1. Preparing Monthly / Yearly Closing Activities and report submit to Management on time. 2. Monitoring Cash balance in our Bank account to ensure proper funding to Agents Settlement & Axis Bank. 3. Preparing Funding request to Management for approval (Ensure Agent settlement in Timely). 4. Coordinate with agents with Fund related Quires. 5. Posting all funding amount to proper accounts. 6. Booking all the expenses properly. 7. Entered all accruals - Expenses & Income 8. Reconcile Bank Accounts on daily basis - NBF & EIB. 9. Supporting to branches if branches required HO support for making Cash Tally. 10. Ensure end of the day all entries are posted properly in system. 11. Supporting WPS team if support required to Reconcile transaction. 12. Ensure system Generated TB, P&L, B/S are correct. 13. Co-ordinate with System supporting If there is any system related issue in financial report. 14. Coordinate with External Auditor for monthly Financial Audit. 15. Coordinate With External Auditor for Yearly Financial Audit. 16. Providing all supporting documents to External Auditor. 17. Prepared and submit to FTA for VAT Report. 18. Submit Financial report Monthly & Yearly to CBUAE. 19. Submit all government related reports \xe2\x80\x93 Like survey in economic department. 20. Maintain proper Fixed Asset Register Finance Activities: 1. Monitoring Bank Balance for covering all our payments (Agents & Suppliers). 2. Reconcile NBF Account to ensure balance availability. 3. Verification of staff related payments (Salary, Leave salary, Final Settlement). 4. Ensure all accruals are posted on time - Expenses & Income 5. Verification of all agents and banks Reconciliation \xe2\x80\x93 Monthly. 6. Verification all payments Vouchers - Suppliers & Service Providers (Expenses & Asset Purchase). 7. Preparing cheque - Rent, Purchases, Monthly Expenses, Staff Related. 8. Daily Monitoring all GL. 9. Verification of Teller Summary Report \xe2\x80\x93 Daily. 10. Monitoring Business \xe2\x80\x93 (MIS Report \xe2\x80\x93 Remittance, FC, WPS). 11. Providing Guidance to branch Employees. 12. Verification of System generated report - P&L, Balance Sheet, Trial Balance. 13. Preparing Budget & Forecasting 14. Coordinate with External Auditor for monthly & Yearly Audit. 15. Submitting MIS Report to Top Management on daily, weekly and monthly basis. Job Type: Full-time Salary: AED5,500.00 - AED6,500.00 per month Language:
  • English Hindi preferred (Preferred)

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Job Detail

  • Job Id
    JD1595663
  • Industry
    Not mentioned
  • Total Positions
    1
  • Job Type:
    Full Time
  • Salary:
    Not mentioned
  • Employment Status
    Permanent
  • Job Location
    Fujairah, United Arab Emirates
  • Education
    Not mentioned