Accountant | Khansaheb Investment LLC
Accountant at Khansaheb Investment LLC
A well-known and well-reputed Company LLC based in Dubai, United Arab Emirates is looking for an experienced, skilled, competent, mature, qualified, creative, and intelligent candidate with significant knowledge and relevant working experience for the vacant position of “Accountant".
Position(s): |
Accountant
|
Company: |
Khansaheb Investment LLC
|
Eligibility Criteria: |
No. of Positions: |
QTY.1
|
Location: |
Dubai | UAE |
Qualifications: |
B.com with CA or Inter CA, or ACCA / ACCA(Inter).
|
Experience: |
4 - 6 years as experience required in same industry
|
Commute/Relocate: |
Reliably commute or planning to relocate before starting work (Preferred) |
Job Type: |
Full Time | Permanent |
Expected Salary: |
Market Competitive Salary
|
Nationality: |
Any Nationality (Available Inside UAE)
|
Job Posted: |
29-Nov-2022 |
Apply Now: |
Click Me to Apply! |
Benefits: |
As per UAE Labor Law |
Desired Candidate Profile
Day-to-Day Duties and Responsibilities:
Job Purpose: The role is to support the organization by ensuring that all financial records and reporting are up to standard, updated and maintained regularly. Responsible for working with third parties, like banks or auditors, to keep business finances on track for some cases.
NOTE: Candidates with 4-6 years of work experience in Civil/Construction sector should apply to this position.
Responsible for maintaining the books of accounts of the division / Company as per the Group’s Accounting procedures and IFRS using the ERP system in place.
Coordinate with the Business head to ensure appropriate and timely provision of Budget and periodical financial performance reports, cash flow analysis and advise and support management decision making at all levels. Ensure that guidance & analytical support is always provided for smooth operations.
Verify and book all invoices and ensure that all the invoices booked in the control accounts are identified and invoiced to the respective group companies.
Manage bank accounts and carrying out detailed bank reconciliation for all bank accounts and prepare/review Bank Reconciliation statements.
Assist Senior Accountant and Finance Manager in preparation of detailed monthly MIS and complete set of financial statements not included to Income statement, Balance sheet, Cash flow statement and detailed income and expense schedules.
Manage company’s cash resources, providing daily bank/cash balance report, and verify all Imprest accounts, petty cash, cash receipts and payments
Pass Credit notes and JVs where required.
Handle VAT matters and deal with VAT consultants, ensure timely payments and reporting to the Tax authority.
Assist senior accountant and finance manager in annual finalization of books of Accounts & liaising with statutory auditors for satisfactory closure of audit process.
Qualifications / Selection Criteria for Role
Demonstrated experience of using Microsoft office, particularly Excel and Word, working in an ERP environment, payroll, banking arrangements, preparation and audit adhering to proper controls and processes.
Excellent communication skills, ability to work closely with the senior management team, ability to meet stringent deadlines
Attention to detail
Applying Details For Application
Subject: Please specify “Applying For Position” in the subject line. Only shortlisted candidates would get notified. We wish you all the very best! 🙂
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