نبذة مختصرة عن شركة سافيلز الشرق الأوسط
شركة رائدة في الاستشارات العقارية، تأسست عام 1855 في بريطانيا، وتتواجد إقليمياً منذ أكثر من 40 عاماً. تخدم عملاءها من مقرها الإقليمي في الإمارات وتقدم خدمات استشارية، إدارية، وتقييمية شاملة للعقارات السكنية والتجارية عبر منطقة الخليج ومصر، معتمدة على
شركة رائدة في الاستشارات العقارية، تأسست عام 1855 في بريطانيا، وتتواجد إقليمياً منذ أكثر من 40 عاماً. تخدم عملاءها من مقرها الإقليمي في الإمارات وتقدم خدمات استشارية، إدارية، وتقييمية شاملة للعقارات السكنية والتجارية عبر منطقة الخليج ومصر، معتمدة على
خبرة عالمية وشبكة واسعة
1- Daily Operations
- Handle day-to-day accounting operations, ensuring accuracy and compliance with financial regulations and company policies.
- Managing the Accounts payable function ensuring timely booking and payment of suppliers.
- Maintain Accounts Payable function including A/P aging reports to track the status of outstanding invoices and follow up.
- Perform account reconciliations and ensure integrity of GL vs. Sub ledger.
- Provide financial reports and analysis to line manager and stakeholders, assisting in decision-making.
- Collaborate with other departments to provide financial insights and support for various projects and initiatives.
- Perform ad-hoc financial analysis and special projects as assigned by management.
- Petty Cash Custody holding and reconcile at the return point.
- Participate in month-end and year-end closing processes, ensuring all financial transactions are properly recorded and reconciled.
- Prepare journal entries, review accruals, and conduct financial analysis to validate the accuracy of financial statements.
- Manage the company’s end-to-end accounting books (record to report cycle)
- Prepare accurate and timely financial reports, including income statements, balance sheets, cash flow statements, and other financial statements.
- Ensure compliance with accounting standards (e.g., GAAP, IFRS) and company policies.
- Driving/owning and automating several aspects of management reporting, weekly/daily operational reporting, making sure that there is alignment and consistency in outputs and conclusions.
- Assist in monthly analysis of contribution margin, breakeven analysis, Cost-volume Profit analysis and other KPIs.
- Participate in the preparation of annual budgets and quarterly forecasts, collaborating with department heads to gather relevant data.
- Monitor budget/forecast performance, identify variances, and recommend corrective actions as needed.
- Ensure compliance with tax regulations, accounting standards, and other financial laws.
- Prepare for and facilitate internal and external audits, responding to audit inquiries and implementing recommendations
Skills, Knowledge And Experience
- Bachelor’s degree in accounting/finance. Preferably with professional qualification.
- 1-3 years of working experience in similar role.
- Excellent analytical, problem-solving, and communication skills.
- Strong knowledge of accounting principles, financial reporting, and tax regulations.
- Excellent in Microsoft Excel, Power Point, and other financial reporting software applications.
- Proficient in manipulating and managing large data sets.
- Ability to handle multiple tasks simultaneously.
- Attention to detail and the ability to meet deadlines in a fast-paced environment.
- Strong leadership and team management skills.
- Strong ethics and integrity in handling sensitive financial information.
