Key Accountabilities 1.Reviews and reconciles value income from lease of land and building with the amount of given by the lessee and maintains records of payments. Prepares and follow ups on Lease Agreement invoice preparation to ensure timely payment. 2.Verifies and resolves all discrepancies identified in revenue reconciliations and issues in customer claims. 3.Determines the amount of interest income based on short term deposit receipt/ confirmations from the bank. Reconciles the amount credited in the bank statement and prepares the Journal Voucher to record the interest income. 4.Facilitates bank deposits, posts credit memos and updates customer accounts. 5.Manages and verifies accuracy of dividends received from Investee Company, records the document in the Journal Voucher and files documents for future reference. 6.Reviews and maintains record of interest income based on the fixed deposit receipt received from the Bank, reviews and documents sale of agricultural products, income from fines and penalties, tender bonds and prepayments.Min Experience:3 YearsSalary :AED 33000Temp/Perm::PermanentLocation :DubaiPosted Date:January 31, 2025