Cashier
Ali & Sons Holding LLC
Date: 3 weeks ago
City: Dubai
Contract type: Full time

Exciting Opportunity for Cashier
Are you a detail-oriented professional with solid experience in cash handling and accounting operations? Join Ali & Sons Group as a Cashier and play a crucial role in managing day-to-day financial transactions, ensuring accuracy, compliance, and seamless coordination between the showroom and head office finance teams.
Key Responsibilities:
- Coordinate closely with the Finance & Insurance Coordinator, Receivable Department, and Bank Accountant at Head Office on daily accounting transactions within the showroom.
- Manage cash and cheque collections from customers in liaison with the F&I Coordinator.
- Serve as custodian of Vehicle Customs Certificates, releasing them only against approved sales deals.
- Collect payments (cash, checks, bank cards) from customers, process cheques through M/s. Trans Guard Security, and ensure correct posting in SAP.
- Handle cash transactions including counting money, providing change, and issuing receipts for all funds received.
- Process payments for daily showroom expenses and record transactions accurately in the SAP cash journal.
- Prepare petty cash for weekly reimbursement and reconcile petty cash statements to maintain adequate cash flow at the branch.
- Maintain and reconcile the cash balance in the drawer and verify receipts issued for cash sales.
- Coordinate with Head Office accounts for timely updates and corrections in financial books related to cash and bank transactions.
- Monitor the movement of selection items and ensure accurate accounting of these items in SAP.
- Conduct periodic physical verification of selection items to match system stock.
- Support F&I Coordinators with preparation of secondary documentation, submission of bank finance and insurance reports to Head Office.
- Arrange necessary documentation for weekly submission to Head Office related to sales deals, insurance debit/credit notes, etc.
- Minimize risks of fraud and errors by strictly adhering to cash transaction policies and procedures in the showroom.
- Assist statutory and internal auditors as required.
- Perform other tasks as assigned by the Accounts & Finance Manager.
Requirements:
Education: Bachelor’s Degree in Accountancy, Commerce, or equivalent.
Experience: Minimum 3 years in a related field with strong skills in computerized accounting systems and cash handling.
Language: Fluency in English is essential; Arabic language skills are an advantage.
Computer Skills: Proficient in Microsoft Office, SAP, and other accounting software.
Competencies: Strong analytical, interpersonal, and communication skills; high attention to detail and accuracy; ability to work collaboratively across teams.
Are you a detail-oriented professional with solid experience in cash handling and accounting operations? Join Ali & Sons Group as a Cashier and play a crucial role in managing day-to-day financial transactions, ensuring accuracy, compliance, and seamless coordination between the showroom and head office finance teams.
Key Responsibilities:
- Coordinate closely with the Finance & Insurance Coordinator, Receivable Department, and Bank Accountant at Head Office on daily accounting transactions within the showroom.
- Manage cash and cheque collections from customers in liaison with the F&I Coordinator.
- Serve as custodian of Vehicle Customs Certificates, releasing them only against approved sales deals.
- Collect payments (cash, checks, bank cards) from customers, process cheques through M/s. Trans Guard Security, and ensure correct posting in SAP.
- Handle cash transactions including counting money, providing change, and issuing receipts for all funds received.
- Process payments for daily showroom expenses and record transactions accurately in the SAP cash journal.
- Prepare petty cash for weekly reimbursement and reconcile petty cash statements to maintain adequate cash flow at the branch.
- Maintain and reconcile the cash balance in the drawer and verify receipts issued for cash sales.
- Coordinate with Head Office accounts for timely updates and corrections in financial books related to cash and bank transactions.
- Monitor the movement of selection items and ensure accurate accounting of these items in SAP.
- Conduct periodic physical verification of selection items to match system stock.
- Support F&I Coordinators with preparation of secondary documentation, submission of bank finance and insurance reports to Head Office.
- Arrange necessary documentation for weekly submission to Head Office related to sales deals, insurance debit/credit notes, etc.
- Minimize risks of fraud and errors by strictly adhering to cash transaction policies and procedures in the showroom.
- Assist statutory and internal auditors as required.
- Perform other tasks as assigned by the Accounts & Finance Manager.
Requirements:
Education: Bachelor’s Degree in Accountancy, Commerce, or equivalent.
Experience: Minimum 3 years in a related field with strong skills in computerized accounting systems and cash handling.
Language: Fluency in English is essential; Arabic language skills are an advantage.
Computer Skills: Proficient in Microsoft Office, SAP, and other accounting software.
Competencies: Strong analytical, interpersonal, and communication skills; high attention to detail and accuracy; ability to work collaboratively across teams.
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