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You will be updated with latest job alerts via email1. Preparing supplier account reconciliations to ensure the accuracy of supplier payments.
2. Preparing checks, check payment vouchers and money transfer letters for depositing cash in banks.
3. Issuing distributions for all expenses and payments to suppliers to settle supplier payments.
4. Preparing payments for employee discounts such as (telephone, medical, etc.) to support the needs of employees who meet the conditions.
5. Preparing bonds or bank transfers related to the purchasing department to maintain payment records.
6. Prepare employee benefits payments, advance payments, cash salaries, monthly invoices, and other miscellaneous payments to ensure they are made accurately and in a timely manner.
7. Implement reconciliation of general ledger accounts with subaccounts to verify and ensure that accounts are properly filed and maintained.
8. Ensure contracts are maintained to ensure compliance with terms and obligations.
9. Assist in closing accounts monthly and annually to maintain, review and take necessary actions.
10. Proposing training needs to improve performance.
11. Applying policies, procedures and standards to improve and standardize accounting processes.
12. Maintaining the security of the organizational unit’s data, operations, documents and information.
13. Contributing to improving the functions of the payments system at Dubai Customs by providing information to implement the payment system standards, strategies and procedures in the annual strategic and operational plan of the Financial and Administrative Affairs Department, and aligning them with Dubai Customs’ strategies to achieve its mission, vision and values.
14. Performing any duties assigned by the direct manager in a proper and timely manner with reliability, integrity, and ensuring the completion of the assigned tasks to the fullest extent.
Full Time