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Accountant I Dubai | Financial Services| Orient Insurance PJSC – Al Futtaim Group

Job Description:

 

To manage end-to-end accounts payable operations within an insurance environment, including claims payments, broker commissions, reinsurance settlements, and vendor payments, ensuring accuracy, compliance, and timely processing in line with internal policies and regulatory requirements.

 

What you will do 

 

Insurance-Specific Payables

  • Process claims-related payments (garages, hospitals, policyholders) in coordination with Claims and Medical teams.
  • Validate and process broker commission payments (e.g., AON, Marsh), ensuring accuracy of commission statements and agreements.
  • Manage reinsurance payables, including treaty and facultative settlements, in line with contractual terms.
  • Process and monitor premium refunds, ensuring proper approvals, documentation, and compliance with internal policies.

 

 

Invoice Processing & Vendor Payments

  • Review, verify, and record vendor invoices accurately in the system.
  • Ensure all invoices are supported with proper documentation and approvals prior to posting.
  • Execute payments through bank transfers, cheques, or other approved payment methods.
  • Maintain and update vendor master data, ensuring accuracy of supplier and bank details.
  • Ensure compliance with VAT and regulatory requirements, including validation of input VAT and proper reporting.

 

 

Required Skills to be Successful (Qualifications)

 

  • Bachelor’s degree in Accounting, Finance, or related discipline.
  • 2-5 years of experience in Accounts Payable, preferably within the insurance or financial services sector.
  • Hands-on experience in insurance-specific payments (claims, reinsurance, commissions) is highly preferred.

 

 

 

Controls, Compliance & Reconciliation

 

  • Ensure adherence to internal controls, audit requirements, and regulatory guidelines applicable to insurance operations.
  • Support reconciliation of payables, vendor balances, and insurance-related settlements where required.
  • Coordinate with internal stakeholders (Claims, Underwriting, Reinsurance, Finance) to resolve discrepancies.

 

 

Reporting & Operational Support

 

  • Assist in preparing periodic reports related to payables, commissions, and settlements.
  • Support month-end closing activities and audit requirements.
  • Handle queries from vendors, brokers, and internal teams in a timely and professional manner.

Job Details

Posted Date:2026-06-22
Job Location:United Arab Emirates – Dubai
Job Role:Finance and Investment
Company Industry:Accounting

Preferred Candidate

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