Job Description
Bank Reconciliation: Regularly reconcile bank statements to ensure accuracy and identify discrepancies.Tally Operations: Maintain and update financial transactions in Tally software.Accounts Payable and Receivable: Manage and monitor invoices, payments, and receipts.Financial Reporting: Prepare accurate financial statements and reports as needed.Inventory Accounting: Track and manage inventory records, ensuring proper alignment with financial data.Compliance: Ensure compliance with applicable accounting standards and regulations.General Ledger Maintenance: Update and maintain the general ledger with all financial transactions.Expense Management: Monitor and manage expenses, ensuring they align with budget forecasts.Audits: Assist with internal and external audits by providing necessary documentation and reports.UAE VAT Compliance and Filing