naukri
Junior Accountant
Emerging Market Financial Training
Dubai, UAE
Entry
3 days ago
AccountingFinancial ReportingBank ReconciliationAccounts PayableAccounts ReceivablePayroll Processing
Free
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AccountingFinancial ReportingBank Reconciliation
About the Role
Assist in financial reporting, accounting transactions, bank reconciliations, and payroll processing while utilizing analytical skills and accounting software.
Key Skills for This Role
AccountingFinancial ReportingBank ReconciliationAccounts PayableAccounts ReceivablePayroll Processing
Responsibilities
- Assist in preparing financial reports and supporting documentation
- Record day to day accounting transactions accurately in the accounting system
- Perform bank reconciliations and investigate discrepancies
- Assist with accounts payable and accounts receivable activities
- Support payroll processing by maintaining accurate employee payment records
- Prepare and maintain accounting schedules and reconciliations
- Assist in month end and year end closing activities
- Generate ad hoc financial reports and data as required by management
- Maintain organized financial records and ensure proper documentation of transactions
- Coordinate with internal teams to obtain financial information and supporting documents
- Support the finance team with administrative and accounting related tasks as required
Requirements
- Basic accounting knowledge and experience
- Attention to detail and accuracy
- Proficiency in accounting software
Full Job Posting
Responsibilities
- Assist in preparing financial reports and supporting documentation.
- Record day to day accounting transactions accurately in the accounting system.
- Perform bank reconciliations and investigate discrepancies.
- Assist with accounts payable and accounts receivable activities.
- Support payroll processing by maintaining accurate employee payment records.
- Prepare and maintain accounting schedules and reconciliations.
- Assist in month end and year end closing activities.
- Generate ad hoc financial reports and data as required by management.
- Maintain organized financial records and ensure proper documentation of transactions.
- Coordinate with internal teams to obtain financial information and supporting documents.
- Support the finance team with administrative and accounting related tasks as required.
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