Job Description: Preparing all financial statements, bank reconciliation, invoices, and payments by cheque or online bank portals. Handle petty cash and close the petty cash from other cashiers,
Monitor and review accounting and related system reports for accuracy and completeness.Assist with monthly closings procedures. - Assist with tax computations & returns.Assist the independent
years of experience in financial accounting and possess strong analytical and ... accounting, including preparing financial statements, maintaining general ledger accounts, and reconciling...
4 year of experience in accounting, with a maximum of 5 ... and receivable, payroll processing, and bank reconciliations.Prepare financial statements, reports ...
• Collaborate with Financial Managers and other team members to successfully execute various accounting tasks.• Maintain company ledgers and daily financial transactions.• Create financial documents
Quality Care Building Cleaning Services LLCDubai, UAE
Monitor and review accounting and related system reports for accuracy and completeness.Assist with monthly closings procedures. - Assist with tax computations & returns.Assist the yearly external
, (DIP)Key Responsibilities:Accounting:· Ensure adherence to accounting standards and enforce them ... processing for the assigned accounting records· Provide technical...
Daily accounting (input in ERP all transactions such as bank / cash payments, bank deposits ... flow of information.Monthly Bank reconciliation, Vendor reconciliation, Bank
responsible for assisting in various accounting tasks, including but not limited ... , have a solid understanding of accounting principles, and be eager to ...
of invoice payments, with routine bank reconciliations.• Regular follow-up with ... revenue & expense accruals.• Reconcile bank accounts, petty cash, and other ...
includes cash management, maintaining bank transactions and bank reconciliations.DescriptionWork closely with ... to manage treasury activities.Maintain bank related documents...