Position Overview
Responsibilities - Manage day-to-day accounting operations for a real estate brokerage company.
- Handle full-cycle bookkeeping including general ledger entries, bank reconciliations, petty cash, journal entries and month-end closing.
- Manage accounts payable and accounts receivable including supplier payments, customer invoices, collections and reconciliations.
- Prepare commission calculations, agent commission reconciliations and brokerage income reports.
- Track property transactions, client payments, deposits and commission receivables.
- Prepare monthly financial reports including profit and loss, balance sheet, cash flow, receivables, payables and management reports.
- Ensure accurate VAT treatment for real estate brokerage transactions and prepare VAT returns and supporting schedules.
- Support UAE Corporate Tax compliance documentation and coordination with tax consultants.
- Manage WPS payroll processing in...