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…
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…
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…
• Prepare accurate and timely financial statements, including profit and loss statements, balance sheets, and cash flow statements • Present financial reports to senior management and provide insights for decision making • Ensure compliance with all tax regulations and filing…
Conduct periodic audit visit, develop compliance reports and review with Top Management · Liaise with other 3rd party and obtain relevant certification for ZAS Medical Facilities Management or Al Ain Pharmacy Group and its other business facilities. · Ensure that…
• Employee Communication • Recruitment Process • Renewal Process • Attendance and Timekeeping • Leave Management • Performance Evaluation (Probationary) • Transfer & Promotion Letters • Employee Records Management • Documents Management • Warning Letters • Employment Change Status •…
Conduct periodic audit visit, develop compliance reports and review with Top Management · Liaise with other 3rd party and obtain relevant certification for ZAS Medical Facilities Management or Al Ain Pharmacy Group and its other business facilities. · Ensure that…
• Perform bank reconciliations. • Reconcile customer card payment transactions with daily POS reports and prepare reports as required by the Manager. • Reconcile daily cash closing reports from various shops and pass required accounting entries. • Support monthly and…