Job Description
- Review accounting records of group corporate entities to ensure timely monthly closures
- Prepare and review monthly MIS reports for UAE and overseas entities
- Ensure accurate and timely preparation of:
- Inter-company reconciliations at group level
- Inter-company loan tracker and supporting schedules
- Ad-hoc management and financial reports as required
- Manage treasury-related activities, including initiating payments through banking portals in line with approval matrices
- Liaise with banks on day-to-day operational matters such as:
- Payment processing and reconciliations
- Bank confirmations and documentation
- Amendments to banking rights and signatory mandates
- Coordinate the opening of new bank accounts for group entities and ensure related compliance
- Maintain proper documentation of banking authorities, access rights, and approvals
- Prepare monthly cash flow statements for corporate entities
- Develop and monitor monthly cash forecast statements
- Manage VAT-related activities, including:
- VAT registration, deregistration, and amendments
- Preparation and filing of VAT returns
- VAT reconciliations and supporting schedules
- Coordination during VAT audits or queries
- Handle UAE Corporate Tax compliance, including:
- Understanding CT applicability
- Computation of taxable income and adjustments
- Preparation and filing of CT returns
- Possess working knowledge of Transfer Pricing, including:
- Identification of related party transactions
- Maintenance of transfer pricing documentation
- Compliance with UAE Corporate Tax transfer pricing requirements
- Coordinate with tax consultants, auditors, and regulatory authorities as required
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- Assist during internal and external audits by preparing schedules and explanations
- Coordinate with auditors, consultants, and banking partners on financial and compliance matters
- Ensure proper documentation of financial processes, approvals, and controls
- Maintain accurate records related to banking, taxation, and regulatory compliance
- Support enhancement of internal controls and compliance frameworks across group entities
- Chartered Accountant (CA) or Inter / Semi-Qualified CA
- Minimum 5+ years of relevant finance and accounting experience
- Prior experience in group companies, holding structures, or multi-entity environments is preferred
- Strong practical exposure to UAE VAT and Corporate Tax regulations
- Proficiency in financial reporting, MIS, and treasury operations
- Strong coordination and stakeholder management skills
Skills
AccountingAccounting RecordsAccountsCash Flow StatementsCash FlowPayment ProcessingReconciliationsReturnsTransactionsTransfer PricingAccountantCaChartered AccountantFinanceCashIf an employer asks you to pay any kind of fee, please notify us immediately. Jobaaj does not charge any fee from the applicants and we do not allow other companies also to do so.
Important dates & deadlines?
Application Deadline
31 Mar 26, 11:32 AM IST
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