Finance Accountant

Michael Page
Abu Dhabi
AED 50,000 - 200,000
Job description

Roles and responsibilities

  • General Ledger and Reconciliation
    • Maintain and update general ledger accounts for tax, financial reporting, and monthly closing activities.
    • Prepare and post journal entries, ensuring accurate and timely recording and reconciliation of financial transactions.
    • Reconcile accounts payable and receivable ledgers to ensure accuracy and completeness.
    • Review disbursements, bank and credit card transactions, and balance sheet reconciliations.
  • Cash Management, Accounts Payable, and Accounts Receivable
    • Manage cash flow by processing supplier invoices, employee expense reports, and intercompany charges.
    • Ensure timely vendor payments and manage payment schedules.
    • Generate and send customer invoices, and monitor and follow up on outstanding receivables.
  • Financial Reporting and Compliance
    • Assist in preparing monthly, quarterly, and annual financial statements.
    • Create financial reports and summaries for management review.
    • Prepare and maintain data and reports needed for tax return preparation.
    • Ensure compliance with financial regulations and standards.
    • Support internal and external audits by providing required documentation and explanations.
    • Identify potential risks and develop and implement solutions.
    • Ensure adherence to internal controls and company policies.

The Successful Applicant

  • Bachelor's degree in Accounting, Finance, or a related field; professional certifications such as ACA, ACCA, CA, CIMA, or equivalent are advantageous
  • Over 5 years of relevant experience in transactional accounting
  • Familiarity with computerized general ledger accounting software (e.g., QuickBooks, Intacct, NetSuite, or similar) is preferred
  • Proficiency in MS Office, particularly Excel
  • Previous experience working with a financial services institution or family office is a plus

Desired candidate profile

  • Financial Reporting: Preparing accurate financial statements, including balance sheets, income statements, and cash flow statements, in accordance with accounting standards.

  • Budgeting and Forecasting: Assisting in the development of budgets and financial forecasts to support strategic planning and resource allocation.

  • Accounts Payable and Receivable: Managing invoicing, payment processing, and collections to maintain healthy cash flow.

  • General Ledger Maintenance: Ensuring that all financial transactions are accurately recorded in the general ledger.

  • Compliance: Ensuring adherence to financial regulations and standards, including GAAP (Generally Accepted Accounting Principles) or IFRS (International Financial Reporting Standards).

  • Tax Preparation: Assisting with the preparation and filing of tax returns and ensuring compliance with tax laws.

  • Audit Support: Supporting internal and external audits by providing necessary documentation and explanations of financial records.

  • Variance Analysis: Analyzing discrepancies between actual and budgeted financial performance, identifying reasons for variances.

  • Financial Analysis: Conducting financial analysis to provide insights on business performance and support decision-making.

  • Process Improvement: Identifying opportunities for improving financial processes and systems to enhance efficiency and accuracy.

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