Job Location : UAE
Job Description :
Preparing & maintaining statutory books of accounts and reconciliation of financial statements in compliance with the accounting standards & company s policies.
Reviewing of General Ledgers, Debtors Ledgers and Creditors Ledgers on a regular basis to avoid any errors and discrepancies therein.
Maintaining of petty cash for day today transactions to avoid obstacles in operations.
Preparing of Cash and Bank reconciliation statement monthly to ensure that Bank Statement tallied with our statement.
Preparing Letter of Credit both incoming and outgoing, monthly payroll, leave and final settlement of the entire organization, cash flow statements.
Preparing of Invoices, Debit notes, Credit Notes
Preparing of Sales & Purchase Ledgers.
Preparing of Financial Reports- Trial Balance, Profit & Loss Account and Balance Sheet.
Screening & evaluating new projects through preparation of contribution statement & balance sheet based on assumed parameters.
Maintaining good relationships with all suppliers and valued customers by keeping good business relation, Bank Accounts Reconciliation and Cash Flow Statement, Comparative Sales Statement.
Requirements :
Multi tasking skills
Must possess excellent communication skills .
Team player and self driven attitude.
Minimum 5 years experience in accounts.
Excellent interpersonal skills.
Must have commitment to high professional ethical standards and a diverse workplace.
Excellent computer skills and proficient in excel, word, outlook.
Interested candidate can send their CV.

Please note: Property Shop Investment LLC reserves the rights to withdraw this job publication at any given time.