This job ad has been posted over 40 days ago...
Executive- Accouts/Accountant
at kamat Gazebo Management Services( Trinity Group) in United Arab Emirates - Dubai
kamat Gazebo Management Services( Trinity Group)
Trinity Group is a conglomerate of various companies. It has business interests in MEP works, Automative services, Mechanical services, Marine Services, Industrial Services, Oil & Drilling industry repairs, Hydraulic Services, Foundry Services, Surface Technologies, Welding & Fabrication, Manufacturing, Foundry, Manufacturing Fire Resistant doors, Restaurants and General Trading. With more than 25 years of experience, Trinity remains committed to its policy of quality & excellent time bound services to the complete satisfaction of its clients. Kamat & Gazebo are Dubai's most reputed chain of restaurants that bring to the table ethnic south Indian & north Indian cuisine with a pick of Chinese & 300 other vegetarian and non vegetarian delicacies all representing different corners of India. We are looking for people with high service standards, and also who can add to our current set of standards. If you see eye to eye with the concept, we are looking for you, as an organization, & that's what we reciprocate as well. We are looking for person with rich knowledge, tremendous experience & excellent career prospects.
Job Description
Accounts receivables- preparation & verification of bills/ invoices, collection accounting, facilitates reporting of receivables, facilitating reconciliation with customers, timely deposit of cash & cheques, ensuring of proper authorization & filling of vouchers. Account payables- verification & accounting of vendor bills/employees payments/etc, preparation of cheques, facilitating vendor reconciliation, reporting of payables, ensuring of proper authorization & filling of vendors. Fixed asset- maintenance & updating of FAR facilitate physical verification of FA. General Ledger-facilitating inters company reconciliation, facilitating reconciliation of other accounts, closing of accounting books. Banking- reporting of funds position & outstanding payables, preparation of bank reconciliation statement on fortnightly/ monthly basis, liasioning with banks for routine matters. MIS reporting & audit- assistance in preparation of financial statement, provide data to facilitate different audit in consultation with managers. Providing data input whenever required for MIS/ budget preparation, stock verification on periodic basis.
Education
Basic - Bachelor of Commerce ( Commerce ) , PG - ICWA Inter ( Cost & Works Accountant )
