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Sharjah

    Real Estate Accountant - Sharjah, United Arab Emirates - Al Marwan Group Holding

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    Description
    • Responsible for overseeing financial accounting, management accounting, business analysis, cash flow forecasting and budgeting.
    • Produce financial statements, reconciling and analysing variances
    • Reviewing detailed revenue and cost transactions.
    • Prepare and assist with the general ledger entries.
    • Perform the daily bank reconciliation.
    • Handle the petty cash of the department.
    • Handle telecommunications bills bookings and certifications.
    • Handle the booking of all purchase invoices.
    • Assist in the monthly closing and financial reporting.
    • Prepare monthly variance reports and report to Finance Controller /Real Estate Manager
    • Responsible for data entry and gain/loss calculations.
    • Compile, enter and post monthly adjusting journal entries.
    • Prepare and follow up on Bank's cheque with drawls.


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