| Job Location | Dubai, United Arab Emirates |
| Education | Not Mentioned |
| Salary | Not Mentioned |
| Industry | Financial Services |
| Functional Area | Not Mentioned |
Prepare financial statements; income and consolidated statements, balance sheets and cash flow Assist with analyzing financial statements on a monthly basis and report on variances Assist preparing budgets for certain income statement/balance sheet accounts and cash flow Prepare and post journal entries to the accounting system Analyze revenues, commissions and expenses to ensure they are recorded appropriately on a monthly basis Perform weekly account reconciliations Perform full month end/year end close. Maintain proper Book Keeping of all group companies records. Monthly calculation and filing of all relevant taxes with the appropriate tax authorities. Weekly preparation of bank reconciliation of all bank accounts of the group companies for the HQ Accounts/audit review. Maintain an up-to-date assets register for the company and other relevant record keeping files. Prepare monthly management account for the board of directors and belfrics HQ for a review with director of accounts/audit. Ensure compliance with all internal control procedures around the companies bank and cash. Prepare audit schedule for director of accounts/audit and external auditors upon request. Ad hoc dutiesGeneral Requirements:
Keyskills :
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