Job opening

Senior Accountant

We are looking for a senior accountant to join our financial department! Do you have 5+ years of experience as a senior accountant in the United Arab Emirates then we are looking to hear from you.

 

Key Responsibilities:

Accounting:

  • Ensure adherence to accounting standards and enforce them during audits of billing, inventories, payable and receivables
  • Oversee the preparation of budgets of projects and overall company expenses
  • Plan, manage, coordinate, and implement the year end closing processing for the assigned accounting records
  • Provide technical accounting support and interpretation to the management
  • Monitoring of all loans from bank facility.

Reconciliations:

  • Ensure that all suppliers accounts are fully reconciled
  • Oversee the verification and reconciliation for invoices, receipts, and balances
  • Reconcile all accounts and financial records of the projects
  • Ensure that Bank reconciliations are verified on a timely basis and adequate to prevent any fraud or inaccuracies
  • Preparation of Cash Flow Report and Bank Reconciliation
  • Monitoring PDC issued and received
  • Analysing transactions and accounts reconciliation
  • Reconciliation of all accounts in the ERP System

Bookkeeping

  • Ensure maintaining the accounting and financial records of the company and all its assets
  • Oversee the preparation and manage annual and multi-year budgets and business plans
  • Direct the installation and maintenance of accounting records
  • Ensure that monthly management reports highlight variances from budgets and that budgets forecasts are updated periodically.

Coordination

  • Support in cash management, banking, vendor relationships and implementation of the ERP system
  • Recording of Journal Entries to the ERP
  • Liaise with HR on the financial and timely payment arrangements for the monthly payroll Coordinate on external audit.

Cash Management

  • Responsible for accurate accounting and ensure adequate internal control in cash collection and banking
  • Assist in ensuring cash & treasury management
  • Disbursement of Petty Cash Requests (Petty Cash Custodian).

Reporting and Analysis

  • Oversee the preparation of monthly management reports and accompanying schedules, worksheets, and narratives, including Budget vs. Actual variance reports
  • Develop, monitor, control, report and analyse budgets and implement any budget tool.
  • Prepare budgets for the whole activity
  • Participate in cost analyses and rate studies
  • Provide a comprehensive financial, accounting advice services and various reports to management
  • Prepare variety of studies, reports and related information and interpretation to the management for decision making purposes.

 

Essential Qualifications:

  • Bachelor’s in accounting, finance or other equivalent (B Com also accepted)
  • At least 3-4 years relevant experience in construction industry
  • Qualified Microsoft Suite professional with a proven track record of implementing technology in financial tasks.
  • Knowledge finance related software applications such as NetSuite and/or QuickBooks.
  • Expert level command over MS Excel and other computer applications
  • Ability to interact with the company’s management and other departments in a clear and concise manner.
  • Proficient in documentation and reporting skills
  • Fluent English speaking, reading, and writing.

 

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