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- Provides financial information tomanagement by researching and analyzing accounting data; preparingreports.
- Prepares asset, liability, and capitalaccount entries by compiling and analyzing accountinformation.
- Documents financial transactionsby entering account information.
- Recommendsfinancial actions by analyzing accountingoptions.
- Summarizes current financial status bycollecting information; preparing balance sheet, profit and lossstatement, and other reports.
- Substantiatesfinancial transactions by auditingdocuments.
- Maintains accounting controls bypreparing and recommending policies andprocedures.
- Guides accounting clerical staff bycoordinating activities and answeringquestions.
- Reconciles financial discrepanciesby collecting and analyzing accountinformation.
- Secures financial information bycompleting database backups.
- Maintainsfinancial security by following internalcontrols.
- Prepares payments by verifyingdocumentation, and requestingdisbursements.
- Answers accounting procedurequestions by researching and interpreting accounting policy andregulations.
- Complies with federal, state, andlocal financial legal requirements by studying existing and newlegislation, enforcing adherence to requirements, and advisingmanagement on needed actions.
- Prepares specialfinancial reports by collecting, analyzing, and summarizing accountinformation and trends.
- Maintains customerconfidence and protects operations by keeping financial informationconfidential.
Accounting Support Administrator - Dubai, United Arab Emirates - NTT Ltd
Description
Working atNTT