\xc2\xb7 To perform accounting functions as assigned including, reconcile and reports. \xc2\xb7 To release of cheques as above & keeping proper records as required by the management from time to time. \xc2\xb7 To assist in preparation of monthly management reports and accompanying schedules. \xc2\xb7 To assist with completion of the quarterly and annual regulatory filings; preparation of assigned Quarterly and Annual Statutory Statement pages/schedules etc. \xc2\xb7 To coordinate and resolve various issues with bank such as cleared check differences, bank fee anomalies, targeted balance calculations and enhancements to online services. \xc2\xb7 To contribute to department and organization special projects as assigned. \xc2\xb7 Reconciliation of all rental and miscellaneous receipts through cash and depositing & Accounting the same. \xc2\xb7 Receiving all Rentals & other PDC Cheque from Leasing Dept. & forwarding to PDC Management. \xc2\xb7 Processing of all office payments & adhoc maintenance payments upon approvals. \xc2\xb7 Releasing of Cheque as above & keeping proper records as required by the management from time to time. \xc2\xb7 General book-keeping duties Job Type: Full-time Experience:
Accounting: 1 year (Preferred)
Ability to Commute:
Dubai (Required)
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