• Organize all company financial programs and ensure compliance to budgetary requirements.
• Monitoring Accounts receivable and payable
• Invoicing, coding and processing invoice data
• Assist departments in account reconciliation process on monthly basis.
• Administer all bank transactions and oversee data recording procedures monthly.
• Analyze different ledger accounts regularly.
• Develop budgetary plans for processes as per requirement.
• Prepare journal entries and synthesize common ledger for subsidiary accounts.
• Collate bank statements on monthly basis.
• Provide support to safe keeping of internal expenses in company.
• Monitor account reconciliation, tax and calculations inclusive of cost accounting plus factory data recording processes.
• Analyzing data collected in order to determine the state of the company’s financial health
• Analyzing data to understand where the company is generating and losing revenue
• Examining the proficiency of the software programs used to organize data
• Generating financial reports that display the company’s profits, equity and cash flow
• Other administrative job
Must be FEMALE with bachelor's degree
Knowledgeable in Tally, Go-Global Software
Experience: 3-5 years
Salary: to be discussed
Office location: Deira, Dubai
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