Vacancy Description
Responsibilities
- Oversee all accounting, bookkeeping and financial reporting activities
- Prepare monthly, quarterly and annual management accounts
- Manage accounts payable, accounts receivable and cash flow forecasting
- Coordinate annual audits and liaise with external auditors
- Manage payroll processing and employee expense reimbursements
- Maintain accurate financial records and supporting documentation
- Manage relationships with banks, brokers, payment providers and financial institutions
- Monitor company liquidity and optimize cash management
- Oversee bank account administration, signatory management and payment approvals
- Coordinate KYC, AML and compliance requests from banks and service providers
- Manage foreign currency transactions and treasury requirements where applicable
- Ensure compliance with DMCC regulations and licensing requirements
- Coordinate license rene...
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