Accountant – Accounts Payable at indeed
Dubai, Abu Dhabi, United Arab Emirates -
Full Time


Start Date

Immediate

Expiry Date

22 Nov, 26

Salary

0.0

Posted On

24 Aug, 26

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Industry

Oil & Gas

Description

Full job description

  • Perform daily bank reconciliations, ensuring accuracy and timely resolution of outstanding items.
  • Manage and reconcile company petty cash accounts, including foreign currency transactions.
  • Provide support to the Finance & Accounting Manager (FAM) on financial and operational matters as required.
  • Review and validate supplier invoices to ensure compliance with UAE invoicing and VAT regulations.
  • Accurately record and upload invoices into the accounting system.
  • Monitor, verify, and process employee expense claims, ensuring appropriate approvals are obtained.
  • Prepare and execute bank payment runs in accordance with approved payment schedules.
  • Process electronic fund transfers and other payment transactions in a timely manner.
  • Prepare and administer cheque payments while ensuring adherence to company policies and deadlines.
  • Record financial transactions in journals, ledgers, and accounting records with a high degree of accuracy.
  • Reconcile accounts payable balances and supplier statements of account (SOA) to ensure completeness and accuracy.
  • Monitor outstanding payables and ensure timely settlement of vendor obligations.
  • Investigate and resolve invoice discrepancies, payment issues, and vendor queries.
  • Review and reconcile corporate credit card transactions, ensuring proper documentation and approval.
  • Maintain effective communication with vendors and respond promptly to inquiries.
  • Generate monthly financial reports related to accounts payable, vendor balances, payments, payroll, and cash management.
  • Lead month-end closing activities related to cash, bank accounts, and accounts payable functions.
  • Conduct VAT reconciliations and prepare accurate and timely VAT return submissions to the Federal Tax Authority (FTA).
  • Prepare month end closing activities which includes performing detailed General Ledger (GL) reviews and analyses to maintain the accuracy and integrity of financial records
  • Lead and coordinate statutory audits, liaising with external auditors and ensuring compliance with regulatory and reporting requirements.
  • Support continuous improvement initiatives by identifying opportunities to enhance financial controls, processes, and reporting efficiency.


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Responsibilities
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