Cash Accountant

Cash Accountant, Al Tayer Group, based in the vibrant United Arab Emirates, is a diversified business conglomerate with a rich heritage and a reputation for excellence. Established in 1979, the group operates in various sectors, including automotive, luxury retail, hospitality, real estate, and more. With a commitment to quality and customer satisfaction, Al Tayer Group has built partnerships with some of the world’s most esteemed brands. Our mission is to deliver superior products and services that enhance the lifestyle and satisfaction of our customers. At Al Tayer Group, we value innovation, integrity, and a dedication to continuous improvement.

Role Summary

As a Cash Accountant at Al Tayer Group, you will be responsible for managing and reconciling cash transactions, maintaining accurate financial records, and ensuring the effective handling of cash operations. Your role will involve monitoring cash flows, preparing reports, and supporting the finance team with various accounting tasks. Your attention to detail, analytical skills, and ability to work in a fast-paced environment will be crucial to maintaining the financial integrity of the group.

Job Details:

  • Employer Name: Al Tayer Group
  • Job Location: United Arab Emirates
  • Salary: AED2050.00 – AED3500.00 Monthly
  • Job Position: Cash Accountant
  • Job Type: Full Time, Permanent, Part-Time, 40-60 hours per week
  • Education: High School or Diploma Degree
  • Experience: 1-2 Basic Requirements
Key Responsibilities
  • Cash Management: Handle and monitor daily cash transactions, including deposits, withdrawals, and transfers.
  • Reconciliation: Perform regular reconciliations of cash accounts, ensuring accuracy and resolving discrepancies in a timely manner.
  • Reporting: Prepare and maintain cash flow statements, financial reports, and other documentation related to cash operations.
  • Record Keeping: Maintain accurate and up-to-date records of all cash transactions, ensuring compliance with company policies and financial regulations.
  • Audit Support: Assist with internal and external audits by providing necessary documentation and explanations of cash transactions.
  • Financial Analysis: Conduct cash flow analysis and forecasts to support financial planning and decision-making processes.
  • Policy Compliance: Ensure adherence to financial policies and procedures, and recommend improvements to enhance efficiency and security.
  • Collaboration: Work closely with other departments, including accounts payable and receivable, to streamline cash operations and resolve issues.
Qualifications and Skills
  • Education: A bachelor’s degree in accounting, finance, or a related field is required; professional certification (e.g., CPA, CMA) is an advantage.
  • Experience: Previous experience in a cash accounting or similar finance role is preferred.
  • Technical Skills: Proficiency in accounting software and Microsoft Office Suite (especially Excel); knowledge of ERP systems is a plus.
  • Attention to Detail: High level of accuracy and attention to detail in financial record-keeping and reporting.
  • Analytical Skills: Strong analytical and problem-solving skills with the ability to interpret financial data.
  • Communication: Excellent verbal and written communication skills in English; proficiency in Arabic or other languages is an advantage.
  • Integrity: Demonstrated integrity and trustworthiness in handling sensitive financial information.
  • Organization: Strong organizational and time-management skills with the ability to manage multiple tasks and meet deadlines.
What We Offer
  • Competitive salary and benefits package
  • Opportunities for professional development and career advancement
  • A dynamic and supportive work environment
  • Access to cutting-edge technology and tools
  • Commitment to employee well-being and work-life balance

How to apply:

  • Dear candidates kindly send your resume via this email,

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