Website Dubai Parks and Resorts
Job Description:
The job holder will be responsible for the overall management of the Cash Office operation, providing a comprehensive support service to the Resort and ensuring revenues and takings are accurately reconciled and that bankings are processed on a timely basis.
Job Responsibilities:
- Revenue reconciliation between financial ledgers and management accounts, along with detailed revenue analysis to enhance business knowledge.
- Working capital analysis, including monthly trends and future forecasting.
- Delivery and review of detailed reconciliations for all balance sheet accounts, including month end balance sheet commentary.
- Preparation of monthly management accounts by business unit.
- Support the delivery of the Year End timetable and responsibility lists.
- Co-ordinate Year End activities with Group colleagues and audit partners.
- Co-ordinate the month end process, including publication of the month end timetable and control over ledger closing activities.
Job Requirements:
- Demonstrated leadership experience and effective verbal and written communication skills are required.
- Demonstrated success in project management skills, including budgeting.
- Requires strong analytical and decision making skills.
Qualification & Experience:
- Experience in coordinating and implementing financial plan for control of operations is required.
- Requires at least eight years of progressive experience in Accounting and Finance field.
- Experience with corporate profit planning, revenue forecasts, expense budgets, capital investment,
Job Details:
Company: Dubai Parks and Resorts
Vacancy Type: Full Time
Job Location: Dubai, UAE
Application Deadline: N/A
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