Senior Accountant Required in Dubai - Dubai

Job brief

We are looking for a Senior Accountant to help manage all financial transactions, from fixed payments and variable expenses to bank deposits and budgets. Your responsibilities are to ensure all financial records and reporting are up to standard and updated regularly, including reconciling bank statements and calculating tax payments and returns. You will work with third parties, like banks and auditors, to keep business finances on track. You have experience with bookkeeping and a flair for spotting numerical mistakes. Ultimately, you will provide us with accurate quantitative information on financial position, liquidity and cash flows of our business.

Requirements

1. Work experience as Senior Accountant, 5-7 years minimum.
2. Excellent knowledge of accounting regulations and procedures, including IFRS
3. Hands-on experience with accounting and ERP software (preferably Tally)
4. Advanced MS Excel skills including Vlookups and pivot tables
5. Excellent experience with general ledger functions
6. Strong attention to detail and good analytical skills
7. BSc in Accounting, Finance or relevant degree
8. Excellent interpersonal and communication skills, a strategic thinker with an analytical in approach, and a results-oriented team player, with a ‘can do’ attitude.

Duties and Responsibilities

1. Manage all accounting transactions (from fixed payments and variable expenses to bank deposits and budgets)
2. Tracking payments to internal and external stakeholders
3. Prepare budget forecasts, Publish financial statements on time
4. Handle monthly, quarterly, and annual closings
5. Reconcile accounts payable and receivable, bank statements
6. Full budgeting, Projection model, Cash flow management
7. Product margin analysis, Pricing strategy, Investment decisions, ROI plans.
8. Ensure timely bank payments and all other payments due
9. Manage balance sheets and P&L statements
10. Audit financial transactions and documents
11. Report on the company’s financial health and liquidity
12. Independently manage company Audits, VAT and Corporate Tax prep and filing.
13. Payroll, Incentive plan, Full ERP implementation
14. Group Businesses (Business plan, ERP implementation, Vat, P&L statement)
15. Consolidate banking, RFP process to select 1-2 banks
16. Expense controls, Financing from banks
17. Full budgeting, Projection model, Cash flow management
18. Product margin analysis, Pricing strategy, Investment decisions, ROI plans.
19. Group Business (Expansion, Banking)
20. Reinforce financial data confidentiality and conduct database backups when necessary
21. Comply with financial policies and regulations
23. Restructure for any new tax introductions, Personal asset structure
24. Group Business (growth plans), Identify opportunities to increase margins and growth.

APPLY FROM LINK BELOW:
https://www.linkedin.com/jobs/view/3863871942/?

Posted on : 9 months ago, #106571, 1 views

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