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Reconcile bank accounts and general ledger accounts as assigned.
Reconcile all balance sheet and income statement accounts on a monthly basis.
Monitor the day-to-day financial operations within the company, petty cash, and other transactions.
Prepare monthly and quarterly income statements.
Support in Accounts finalization and liaison with the External auditors.
Verification of the invoices from the suppliers and processing payment.
Customer account reconciliation and collection follow up.
Maintain good relationship with customers and address their concerns.
Pay: AED3,000.00 per month
Ability to commute/relocate:
Application Question(s):
Education:
Experience:
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Location:
Work Location: In person
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