-Main duties
Input daily entries and transactions on the system and ensure all supporting documents are properly classified
Handle, process and track various payments and expenses based on internal approvals
Handle cash reconciliation, and bank statements
Organize and maintain a proper archive system
Maintain general ledger accounts by reconciling accounts receivable and payable, bank reconciliation statements, petty cash, ledger, and financial records
Preparing financial statements, cash flow, P&L and Balance Sheets
Maintain and reconcile the company petty cash
Preparing the VAT reports and ensure timely VAT returns filing
Any other tasks as assigned by the Finance Head
MUST HAVE
at least 4-5 years in the UAE with a trading company.
-Skills required: Adept in using Tally and MS Excel, presentable and with fluency in English. Must have knowledge of UAE VAT and taxation rules.
Job Type: Full-time
Application Question(s):
Do you have expertise on Tally and MS Excel
Do you have experience in preparing the VAT reports and ensure timely VAT returns filing
Do you have work experience in UAE with a trading company ?
Education:
Bachelor's (Required)
Experience:
* accounting: 4 years (Required)
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