Leasing Executive - Retail Expansion
, reconciliations, and other leasing-related financial matters. Act as a key contact point between GMG business units and developers
, reconciliations, and other leasing-related financial matters. Act as a key contact point between GMG business units and developers
reconciliations, fixed asset controls, management reporting, and process standardization, the Accountant will help reduce financial... reconciliations, schedules, confirmations, and supporting records. Investigate unusual balances, aged reconciling items, unexplained
by providing analysis, reconciliations, reporting inputs, and financial control follow-up. Deliver ad hoc financial analysis... to detail when handling reconciliations, system uploads, financial schedules, and reporting packs. Skills…
by practical knowledge of claims payments, broker commissions, reinsurance transactions, vendor invoices, and reconciliations. 2
reconciliations, reporting, and cash flow management. Prepare monthly, quarterly, and annual financial reports. Monitor budgets
, and bank reconciliations Prepare monthly management accounts, VAT returns, and financial reports Support budgeting
About Us We're building the world's leading cross-border fintech for emerging markets - empowering families, fueling local economies, and changing how millions access financial services. Since our
& Cash Management Perform regular bank reconciliations and monitor cash flow. Maintain accurate cash books and monitor
regular bank reconciliations and monitor cash flow. Maintain accurate cash books and monitor daily cash transactions. Assist
mechanisms and regular reconciliations 2. Factory Financial Operations & Reporting Oversee end-to-end factory finance... operations, including month-end close, journal entries, and balance sheet reconciliations Ensure timely, accurate
mechanisms and regular reconciliations 2. Factory Financial Operations & Reporting Oversee end-to-end factory finance... operations, including month-end close, journal entries, and balance sheet reconciliations Ensure timely, accurate
, and reconciliations. Perform bank, supplier, and general ledger reconciliations. Assist with month-end and year-end closing activities
environment. Description Β· Prepare and maintain accurate accounting records, including general ledger reconciliations... accounts with detailed variance analysis Β· Perform bank reconciliations, accruals, and prepayments schedules Β· Manage
reconciliations with supporting documentation and approvals. Ensure VATβcompliant documentation, including correction of invoices
. Organize and store items systematically for easy retrieval. Conduct periodic stock counts and inventory reconciliations
. Proven CIT & VAT end-to-end (returns, reconciliations, audits, FTA portal)
and transactions. Responsibilities: Prepare and maintain financial records Process invoices, payments, and reconciliations Assist
corporate credit card and petty cash reconciliations with supporting documentation and approvals. Ensure VATβcompliant
external audit & FTA: Provide tax schedules and reconciliations for external audit and FTA queries; respond to authority
records and reconciliations of escrow transactions. Liaise with regulatory authorities and escrow agents on project-related... and auditors on tax planning, assessments, and clarifications. Maintain proper tax records, documentation,…