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This role is responsible for the timely reconciliation, execution, and posting of accounting entries while preparing trial balances and financial statements. The incumbent will collaborate with various internal teams to ensure seamless trade operations and compliance with accounting standards.
Job Purpose:
This position is responsible for ensuring the timely reconciliation, execution, and posting of accounting entries, as well as the preparation of trial balances and financial statements. The role also involves providing reconciled reports to the Central Finance and VAT teams.
Required close collaboration with Trade Operations, Technology, Product, Central Finance, and VAT teams to ensure effective coordination and seamless execution of responsibilities.
Key Result Areas:
Ensure to have complete understanding of banking platforms like Flex, OBTF, SCF and Velocity platforms.
CA, ACCA or Master degree in accounting & finance.
3-7 years of relevant working experiences in accounting, finance, and trade facilities.
Experience of handling multiple system UATs, BRD preparations and meeting deadlines.
Experience/Knowledge of handling multiple systems like CBS/Flex, ELCM, SWIFT, UAEFTS, EDMS, LLOYDs and FIRCO.
Ability to learn new banking systems quickly and identify Gaps if any.
Good experience to review Credit proposals & Agreements and Swift Messages.
Good knowledge of trade documents and trade cycle. And Compliance process.
Experience of handling reconciliation between multiple system.
Experience of performing EDD & Compliance screening on submitted requests and Trade documents.
Strong referral and follow up skills till completion of o/s task.
Good communication skills and interpersonal skills.
Proficiency in MS Office (Word, Excel/Calculations and Power point) and good typing speed.
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