More jobs:
Executive Finance
Job in
Sharjah, UAE/Dubai
Listed on 2026-04-30
Listing for:
IFFCO Group
Full Time
position Listed on 2026-04-30
Job specializations:
-
Finance & Banking
Accounts Receivable/ Collections, Financial Analyst, Accounting Manager, Financial Reporting
Job Description & How to Apply Below
- Process and book vessel-related invoices by coordinating with operations and shared service center (SSC), ensuring correct coding and supporting documentation;
Coordinate with SSC AR for timely generation of sales invoices based on vessel Disbursement Accounts (DA) and share details with operations;
Track vessel-related fund movements, prepare detailed narrations for accounting entries, and coordinate with SSC for posting and status updates. - Coordinate with SSC AP and cash management team for supplier payments (advance/final) and LC processing for fixed assets;
Liaise with operations and GL team for asset capitalization, ensuring correct asset-wise value and classification;
Maintain and reconcile the fixed asset register with operational records, ensuring periodic updates (e.g., vehicle registrations). - Prepare and submit monthly accruals and provisions (recurring and non-recurring) to SSC;
Review trial balance during month-end/flash reporting and pass necessary adjustment entries;
Prepare working capital schedules, including receivables, payables, and provisions;
Process intercompany cost recoveries (e.g., vehicle R&M, diesel, driver costs, fines) through AGIS, ensuring proper documentation and follow-up for entries;
Review and validate prepaid and provision entries processed by GBS/SSC before final posting. - Compute monthly cost recovery from business units based on employee usage of employee transportation service and budgeted rates and raise accounting entries, accordingly;
Prepare and circulate annual budgeted cost per seat for bus services;
Perform half-yearly actual costing and analyze under/over recovery;
Coordinate with operations for PO, MRR, and invoice booking and support contract renewals with relevant stakeholders. - Prepare customer aging reports and statements of account (SOA) and follow up with customers and internal teams for collections;
Coordinate with customers, KSA office, and internal teams to ensure timely recovery of outstanding balances;
Inform SSC AR of receipts (cash/cheque) and ensure proper allocation against invoices;
Process invoice corrections through debit/credit notes and ensure proper accounting entries. - Prepare and file monthly VAT returns for assigned entities within statutory deadlines.
- Create and update customer and supplier master data in ERP systems (Oracle/OTM) based on approved requests.
- Create charge codes, map accounting distributions, and resolve AP interface issues in coordination with IT/IS teams.
- Follow up with SSC for supplier payments, including urgent and priority transactions, and resolve vendor queries;
Prepare payables list and identify priority disbursements based on fund availability. - Review and approve purchase requisitions (PRs) and validate supporting documentation.
- Perform intercompany reconciliations and ensure timely booking of cross-charges and allocations.
- Handle KSA-related cost booking and quarterly allocation of overheads across business units.
- Coordinate with insurance team for policy renewals and provide required documentation;
Handle CRI-related activities, including turnover declarations, new applications, and monitoring. - Raise invoices for recovery of accident-related claims and follow through until settlement.
- Provide inputs for cash flow forecasting and assist in prioritizing payments.
- Address queries from drivers and internal teams related to payments, deductions, and settlements based on financial records.
- Coordinate with multiple departments (Operations, SSC, AR/AP, GL, Insurance, etc.) to ensure smooth financial operations.
- Conduct periodic stock checks and monthly cash verification to ensure adherence to internal controls.
- Review and approve operational invoices (e.g., driver settlements, transport-related bills) within delegated authority.
- Detailed knowledge of International Accounting Standards and basic accounting practices
- Able to prepare all financial statements, ratios, management information reports and interpret them
- Able to take the physical stock of inventory and standard stores practices
- Familiar with procurement procedures, controls, and payments processing
- Adequate knowledge of bank services, letters of credit, bank guarantees, bank charges, foreign exchange
- Able to maintain the accounts of 2 or more companies and manage the intercompany transactions.
- Sound knowledge of logistics Operations.
- Well versed with ERP systems (Preferably Oracle)
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