The ideal candidate will have substantial exposure to monthly closing processes, forecasting and budgeting, and customer billing. They will be organized and approach each issue with an analytical mindset.ResponsibilitiesResponsible for day-to-day Bookkeeping for all related companies.Responsible for GL, Fixed Assets, Invoicing, Accounts Receivable, Payment R...
Responsibilities:Record and classify financial transactions accurately in the accounting system.Prepare and maintain financial statements, including balance sheets and income statements.Reconcile bank statements and accounts to ensure accuracy and identify discrepancies.Process accounts payable and receivable, including invoice verification and payment proce...
Duties & Responsibilities:• Establishing and enforcing proper accounting methods, policies and principles.• Manage all accounting operations including Billing, A/R, A/P, GL and Counsel, CostAccounting, Inventory Accounting and Revenue Recognition• Coordinating and directing the preparation of the budget and financial forecasts andreport variances• Design...
ResponsibilitiesPrepare and analyze financial statements, including balance sheets, income statements and statements of cash flow.Record and analyze financial transactions to ensure accuracy and integrity of financial records.Review and reconcile ledgers and accounts.Reconcile daily cash balances and prepare month end cash flow projections.Prepare journal en...
ROLE SUMMARYFinancial Controller is responsible for establishing reliable financial reporting system within MAF Retail to monitor the progress of the organization's objectives and provide stakeholders with relevant financial data for the decision making process.ROLE PROFILEManage the consolidation and reporting of the annual budget and forecastsAssist with d...
Key tasksOversee the accounting side of the business from financial statement preparation to the management of accounts payable & receivable.Ensure the financial controls are kept up to date and look for areas of improvement.Examine extenral risks and advise the business on best practice to mitigate these risks.Participation in key finance change project...
ONLY APPLY IF YOU ARE FULLY ACCA-QUALIFIEDAs our senior accountant, you will be responsible for planning and managing the accounting function. You will own and coordinate the month-end process and all general accounting activity for the entity, while also getting involved with account reconciliations, financial analysis, and management reporting.You will use...
Reconciling the company’s bank statements and bookkeeping ledgersCompleting analysis of the employee expendituresManaging income and expenditure accountsGenerating the company’s financial reports using income and expenditure dataKeeping a check on the company’s finances based on financial statusFiling and remitting taxes and other financial obligationsInitia...
Job Description:The Fund Accountant Manager is responsible for overseeing the financial operations and reporting of investment funds. They ensure accurate and timely investor reporting, manage VAT returns, maintain compliance with Anti-Money Laundering (AML) regulations, understand support the year-end audit process, calculate Net Asset Value (NAV), provide ...
We are looking for candidates to join our group with hands-on UAE experience between 3 and 5 years in the fields of Accounts, Finance, and UAE VAT. Individually capable to handle from scratch until finalization of accounts. Should have strong communication skills. Good in Excel and has pervious experience in Tally ERP/Prime accounting software. Experience in...
COYA is a worldwide renowned luxury lifestyle hospitality brand with venues in London; Mayfair and City, Paris, Barcelona, Marbella, Monaco, Mykonos, Dubai, Abu-Dhabi, Doha and Riyadh.Born from the spirit of an adventure, COYA celebrates Latin American culture through delicious Peruvian food, innovative cocktails, music, art and happenings.We are currently l...
AccountantKey Responsibilities:-Collecting receivable accounts and handle operating expenses.Support in the internal company records updation.Responsible for monthly bank reconciliations related to properties and transactions.Handling petty cash, review , prepare sales tax and Tax reporting.Compile and analyze financial information to prepare entries to acco...