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Accounting Operations
· Record routine journal entries and update the accounting system with supporting documents.
· Assist with invoice processing, petty cash, and employee reimbursements.
Reconciliations & Reporting
· Support in the reconciliation of bank and vendor accounts.
· Prepare draft financial summaries for review by senior accountants.
Documentation & Filing
· Organize and maintain proper filing of vouchers, receipts, and journal entries.
· Help prepare documents for internal or external audits.
Cash Handling & Verification
· Assist in preparing and verifying petty cash reports.
· Participate in inventory and cash checks as needed.
System Usage & Compliance
· Enter accurate data into MS Dynamics or other finance tools.
Job Type: Full-time
Pay: From AED4,000.00 per month
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Work Location: In person
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