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Job Description

Requirements


  1. Graduate degree in Commerce (BCom/MCom) with a minimum of 2 years of experience in accounts
  2. Preferably, hold a UAE Driving License
  3. High-level industry knowledge and excellent English communication skills
  4. Proficient in MS Office and MS Outlook
  5. Ability to communicate with confidence

What We Offer


  1. A dynamic and supportive work environment
  2. Opportunities for professional growth and development
  3. Competitive compensation and benefits package
  4. The chance to work with a global leader in the industry

Apply Now


If you are a motivated and detail-oriented individual with a passion for accounting, we encourage you to apply for this exciting opportunity. Join our team and be part of a company that values long-term relationships, quality, and safety.


Join Our Global Team: Accounts Assistant Opportunity in Dubai


GAC, a leading worldwide service provider, is dedicated to fostering long-term relationships with customers, staff, and suppliers. We are committed to delivering integrated shipping, logistics, marine and related services to the Shipping, Logistics, Marine, and related markets with the highest levels of quality and safety. We are seeking a skilled and motivated individual to fill the role of Accounts Assistant in our Dubai office. Could you be the ideal candidate?


Job Overview


The primary purpose of this role is to manage accounting tasks for all bank transactions and assist the General Accounts team, reporting to the Chief Accountant. Responsibilities include accurate recording and reconciliation of bank transactions, generating cash flow reports, performing monthly reconciliations, and reconciling customs guarantees, all in accordance with company policies and timelines. This role supports effective daily bank balance accounting and reliable daily cash flow and cash flow forecasting.


Key Responsibilities


  1. Post daily bank transactions in our system to ensure up-to-date and reconciled bank accounts.
  2. Generate daily cash flow statements and prepare weekly cash flow forecasts to provide reliable information on our financial position.
  3. Conduct monthly reconciliations with associates and reconcile customs guarantee accounts to ensure accurate financial records.
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