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Finance Outsource

Finance Outsource

Sundus Consultancy
Fresher
Not Disclosed
  • Posted 4 hours ago
  • Be among the first 10 applicants

Job Description

Job Code: JPC-6705

Job Title: Finance Outsource

Job Location: Abu Dhabi, UAE

Contract Duration: 12 Months

Job Purpose

The Finance Outsource professional will be responsible for managing financial reconciliations, month-end closing activities, invoice processing, audit support, and maintaining accurate financial records using the Oracle GRP financial system.

Key Requirements

  • Strong experience in financial accounting, general ledger, and account reconciliation.
  • Mandatory hands-on experience with Oracle GRP.
  • Arabic speaker with strong verbal and written communication skills.
  • Proven experience in Trial Balance reconciliation and ensuring financial transactions are accurately reflected in account balances.
  • Experience in Fixed Assets Reconciliation, ensuring the asset register is accurately aligned with the Trial Balance.
  • Hands-on experience in invoice processing and booking.
  • Experience conducting monthly inventory reconciliations and resolving discrepancies.
  • Experience reconciling supplier prepayment accounts against the Trial Balance.
  • Strong experience in month-end closing and financial book closure activities.
  • Experience supporting external audits, including providing financial records, reconciliations, schedules, and supporting documentation.
  • Good knowledge of financial reporting, accounting procedures, and internal controls.
  • Ability to provide training and guidance to finance team members on Oracle GRP and related financial processes.
  • Strong analytical, problem-solving, and reconciliation skills.
  • Excellent attention to detail and ability to meet strict month-end closing deadlines.
  • Ability to contribute to financial process improvements and reporting enhancements.

More Info

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Key Skills

monthly inventory reconciliations

supporting external audits

Oracle GRP

Trial Balance reconciliation

financial book closure activities

month-end closing

accounting procedures

Fixed Assets Reconciliation

About Company