Dubai Accounts Payable & General Ledger Specialist

Transguard Workforce Solutions

Dubai

On-site

AED 72,000 - 120,000

Full time

28 hours ago
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Job summary

Transguard Workforce Solutions in Dubai seeks a General Accountant to support accounts payable, data entry, and financial record maintenance. You will process invoices, manage vendor payments, and assist in monthly closings.

The role requires accuracy, confidentiality, and deadline-driven work with proficiency in Excel and accounting software. You will build reports, reconcile ledgers, and collaborate with auditors and finance teams to ensure compliant financial documentation.

Qualifications

  • Accurate data entry with high attention to detail and confidentiality.
  • Experience with invoices, vendor payments, and monthly closings.
  • Proficiency in MS Excel and accounting software for reporting.

Responsibilities

  • Manage day-to-day accounting entries, invoices, and payment records accurately.
  • Maintain financial data and updated accounting software with high attention to detail.
  • Prepare bank reconciliations, petty cash statements, and expense reports.
  • Process vendor payments efficiently.
  • Assist in monthly closing activities and preparation of financial reports.
  • Enter large volumes of data with accuracy while meeting deadlines.
  • Verify and corrected accounting discrepancies and data inconsistencies.
  • Generate reports using Microsoft Excel, including formulas, pivot tables, and VLOOKUP.

Skills

Data Entry
Invoice processing
Attention to detail
Deadline management
MS Excel
Record management

Tools

Accounting software

Job description

Transguard Workforce Solutions in Dubai seeks a General Accountant to support accounts payable, data entry, and financial record maintenance. You will process invoices, manage vendor payments, and assist in monthly closings.

The role requires accuracy, confidentiality, and deadline-driven work with proficiency in Excel and accounting software. You will build reports, reconcile ledgers, and collaborate with auditors and finance teams to ensure compliant financial documentation.

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