\ Job Description:Role: Teller Location: Dubai Sheikh Zayed Road BranchRole Purpose:Delivering quality teller service to customers via accurate and efficient processing, while…
\ Responsibilities: Maintaining accurate and up to date records of all financial transactions Daily payment process initiation and monitoring Daily bank reconciliation.…
CountryUnited Arab EmiratesLocationDubaiWorkplace locationDUBAI U BORA TWRS(ARE)Employer companyTotalEnergies Renewables Development Middle EastDomainFinanceType of contractFixed term positionDuration of contract6Duration unitMonthsExperienceMinimum 6 yearsCandidate ProfileEducation:…
\ \ SAP Business One Finance AccountantMust Have Skill: SAP Business One 1. Account Payables (Procure to Pay): Conduct a comprehensive review…
Overview **This position will be physically located in Kuwait in support of LOGCAP** Under supervision of the Maintenance Manager, supervises Production, Planning…
b\' We are currently looking for a meticulous and proactive Reconciliation Officer to join our team. If you have a keen eye…
Looking for a dynamic Branch Supervisor to lead our team in Dammam! If you have strong computer skills, fluent Arabic communication (spoken…
SAP Cutover Manager Experience: 15 Years Location: Kuwait Notice Period: Immediate to 15 Days Position: C2H Job Description: 1 candidate with below…
\ Key Responsibilities: General Ledger Management: Oversee general ledger functions and ensure accuracy in financial reporting. Financial Statements: Prepare and review monthly…
Job Requisition ID: 161472Established in the 1930s as a trading business, Al Futtaim Group today is one of the most diversified and…
\ Company DescriptionFirst Abu Dhabi Bank is an inclusive environment where each person values the experiences, perspectives, ideas and beliefs of others.…
\ \ Every employee at Al Rostamani Group plays a role in making a real difference to the business and our customers.…
Job Description:Role: Operations and Service Manager Location: Ajman Al HumaidiyaRole Purpose:Handling the branch operations Review, control & approval, Sales and business acquisition,…
MAIN OBJECTIVE OF ROLETo manage accounting activities around month end closing and post closing reconciliation and reporting activities during quarterly and annual…
\ Review month end activities of Supply Chain Entities e.g. LAHL, LPMS, DWC, Trinity, LRL, RNA World Review Finance Assurance for Supply…
Company DescriptionFirst Abu Dhabi Bank is an inclusive environment where each person values the experiences, perspectives, ideas and beliefs of others. Were…
Preparing and verifying Cash payment vouchers, bank reconciliation, Supplier reconciliation, & Sales Entries. Posting and reviewing all entries in the accounting system.…
JOB SUMMARY The Finance Assistant Shared Services (FASS) directly assists on all tactical financial accounting matters that gives rise to accurate, timely…
Payables & Receivables Reconciliation of bank accounts, bookkeeping, and ledgers Analysis of payment certificates Reconciliation of the ledger Issuance of Sales Invoices…
Key Responsibilities: General Ledger Management: Oversee general ledger functions and ensure accuracy in financial reporting. Financial Statements: Prepare and review monthly and…