تفاصيل الوظيفة
* Recording financial transactions accurately.
* Preparing financial statements (income statement, balance sheet, cash flow statement).
* Maintaining and reconciling general ledger accounts.
* Preparing and filing tax returns and ensuring tax compliance.
* Managing accounts payable and accounts receivable.
* Preparing budgets and financial forecasts.
* Monitoring cash flow and controlling expenses.
* Conducting financial analysis and providing management with recommendations.
* Assisting with internal and external audits.
* Maintaining accurate financial records and supporting documentation.
* Using accounting software to manage financial data and generate reports.
مزايا وظيفية حسب قانون العمل الإماراتي
تأشيرة عمل