As an Accountant, you will play a vital role in our finance team, responsible for managing various accounting functions related to oil trading operations. This position offers an exciting opportunity to work in a dynamic environment, utilizing your expertise in banking reconciliation, VAT, account reconciliation, receivables, payables, and payment processing. Experience with Dynamics 365 system is essential for this role.
Key Responsibilities:
- Perform daily banking reconciliations and ensure accuracy of transactions recorded in the accounting system.
- Manage and maintain the Dynamics 365 accounting system, ensuring automation and integration of financial processes.
- Conduct monthly account reconciliations to ensure all balances are properly supported and discrepancies are resolved promptly.
- Prepare and file VAT returns in compliance with UAE tax regulations, ensuring accuracy and timeliness.
- Manage accounts receivable and accounts payable processes, including invoicing, collections, and payments.
- Process vendor payments and reconcile vendor statements to ensure timely and accurate payments.
- Assist in month-end and year-end closing activities, including preparation of financial statements and supporting schedules.
- Collaborate with internal teams to streamline processes, implement best practices, and improve overall efficiency of financial operations.