Location
sharjah, sharjah emirate, United-Arab-Emirates
Posted
July 15, 2026
Job Description
Key Responsibilities
- Prepare and verify daily financial reports and journal entries
- Record daily cash and credit card collections accurately
- Compile monthly financial and management reports
- Manage accruals and prepayments in compliance with accounting standards
- Prepare Accounts Packs for management review
- Maintain petty cash transactions and other journal postings
- Record and reconcile daily bank receipts and cash deposits
- Prepare and monitor debtor and creditor reports
- Prepare invoices after proper verification of GRNs and delivery documents
- Prepare and control daily cash reports
- Maintain and reconcile General Ledger accounts
- Oversee Accounts Payable processes ensuring timely and accurate payments to suppliers
- Maintain and update fixed asset and subsidiary accounting records
- Support month-end and year-end closing activities
- Ensure compliance ...