Create detailed journal entries and post them to the general ledger (GL) to track all income statements and expenses.
Reconcile all business accounts to ensure our records match up and no transaction gets lost.
Facilitate all incoming payments and outgoing checks, including printing, obtaining signatures for, and distributing checks as necessary.
Prepare for quarterly reporting using standard best practices and assist in monthly closings.
Job Type: Full-time
Pay: AED5,000 - AED7,000.00 per month
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Education:
License/Certification: