Job Description
Record and manage daily financial transactions
Handle invoices, receipts, petty cash, and bank entries
Reconcile daily balances across multiple bank accounts
Maintain accurate VAT records and assist in quarterly VAT filings
Help prepare documents and calculations for UAE Corporate Tax compliance
Process payroll, staff claims, and reimbursements
Monitor end-of-service benefits, gratuities, and leave calculations
Generate weekly/monthly P&L, cash flow, and balance reports
Support budgeting, forecasting, and operational financial insights
Maintain audit-ready records per FTA and UAE law
Assist with internal and external audit requirements
Liaise with management, finance consultants, and audit teams
Handle accounting for multiple legal entities (LLC, Establishment)Record and manage daily financial transactions
Handle invoices, receipts, petty cash, and bank entries
Reconcile daily balances across multiple bank accounts
Maintain accurate VAT records and assist in quarterly VAT filings
Help prepare documents and calculations for UAE Corporate Tax compliance
Process payroll, staff claims, and reimbursements
Monitor end-of-service benefits, gratuities, and leave calculations
Generate weekly/monthly P&L, cash flow, and balance reports
Support budgeting, forecasting, and operational financial insights
Maintain audit-ready records per FTA and UAE law
Assist with internal and external audit requirements
Liaise with management, finance consultants, and audit teams
Handle accounting for multiple legal entities (LLC, Establishment)