to Record daily transactions of the company. Analyze and reconcile account balances and maintain its supporting documents and schedules such as Prepayment Schedule, and Schedule of Post Dated Cheques, Accounts and Loans Payable, Sales and Receivables. Prepare monthly financial statements such as Trial Balance, Balance Sheet, Statement of Profit and Loss, Cash Flow Statement, Bank Reconciliation and other required financial reports. workin4dubai@gmail.com
Account and Admin Support Executive (Dubai)
Industry: Automobiles
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