Accountant

Full Time

Website NMC Healthcare

NMC Healthcare is the largest private healthcare company in the UAE and ranks amongst the leading fertility service providers in the world. Over the last 46 years, NMC has earned the trust of millions, thanks to its personalized care, genuine concern and a sincere commitment to the overall well-being of the patient.

Accountant

JOB DESCRIPTION

•   Review all invoices for appropriate documentation and approval prior to payment
•   Match invoices to LPO and delivery note
•   Respond to all vendor inquiries
•   Reconcile vendor statement, research and correct discrepancies
•   Ensure payments received and check deposits are timely recorded and properly coded.
•   Calculate, post business transactions, process invoices, verify financial data for use in maintaining accounts payable records, and provide other clerical support necessary to pay the obligations of the organization.
•   Assemble invoices to be completed for payment
•   Review invoices and requisitions for satisfactory payment approval
•   Maintain copies of vouchers, invoices or correspondence necessary for files
•   Type periodic reports and other records
•   Clarify any questionable invoice items, prices or receiving signatures
•   Obtain proper information and/or data regarding invoice payments.
•   Verify and calculate all extensions and totals on invoices (calculating and taking discounts when applicable).
•   Check vendor files for any previous payments and assign voucher numbers
•   Prepare vouchers listing invoice number, date, vendor address, item description, amounts and coding per accounting policies and procedures
•   Reconcile bank statements.
•   Track and monitor payment and request payment cheques to IVF Dubai – Head Office
•   Assist in month end closing.
•   Maintain the records of accounts payable by filing all source documents, prepare reports and other documentation for management when requested
•   Ensure timely submission of reports such as Inventory – Medicines and Consumables, Accounts Payable Ageing, and Other Payables
•   Monthly reconciliation of medication inventory for month end valuation, ensuring all the intercompany transfers were properly posted
•   Monthly reconciliation of employee advances
•   Assist in the MIS and KPI reporting.

RESPONSIBILITIES

•   Review all invoices for appropriate documentation and approval prior to payment
•   Match invoices to LPO and delivery note
•   Respond to all vendor inquiries
•   Reconcile vendor statement, research and correct discrepancies
•   Ensure payments received and check deposits are timely recorded and properly coded.
•   Calculate, post business transactions, process invoices, verify financial data for use in maintaining accounts payable records, and provide other clerical support necessary to pay the obligations of the organization.
•   Assemble invoices to be completed for payment
•   Review invoices and requisitions for satisfactory payment approval
•   Maintain copies of vouchers, invoices or correspondence necessary for files
•   Type periodic reports and other records
•   Clarify any questionable invoice items, prices or receiving signatures
•   Obtain proper information and/or data regarding invoice payments.
•   Verify and calculate all extensions and totals on invoices (calculating and taking discounts when applicable).
•   Check vendor files for any previous payments and assign voucher numbers
•   Prepare vouchers listing invoice number, date, vendor address, item description, amounts and coding per accounting policies and procedures
•   Reconcile bank statements.
•   Track and monitor payment and request payment cheques to IVF Dubai – Head Office
•   Assist in month end closing.
•   Maintain the records of accounts payable by filing all source documents, prepare reports and other documentation for management when requested
•   Ensure timely submission of reports such as Inventory – Medicines and Consumables, Accounts Payable Ageing, and Other Payables
•   Monthly reconciliation of medication inventory for month end valuation, ensuring all the intercompany transfers were properly posted
•   Monthly reconciliation of employee advances
•   Assist in the MIS and KPI reporting.

QUALIFICATIONS

Bachelor’s degree or master’s and above in accounting
Having years of relevant experience
Good computer skills

To apply for this job please visit eiby.fa.em2.oraclecloud.com.