Location
Dubai, Dubai, United Arab Emirates
Posted
July 14, 2026
Job Description
Job Description
Accounting entries, reconciliation, co-ordination with teams, Bank payments, Bank reconciliation, preparing P&L and B/S (monthly), maintaining leave records, preparing payment files, following up with customer for overdue etc
- Coordinate with internal teams to ensure timely and accurate financial data submission.
- Execute bank payments and prepare payment files for processing.
- Monitor and follow up on customer accounts for overdue payments.
- Maintain up-to-date and accurate employee leave records.
- Ensure compliance with internal controls and financial policies.
Requirements
Strong knowledge of accounting principles and reconciliation processes.
B.Com/M.Com
3+ years of hardcore accounting experience.
Knowledge in Tally