|
Main accountabilities & expectations
|
UAE VAT Compliance and Financial Reconciliation 1.Support the preparation and timely filing of periodic UAE VAT returns by preparing VAT return data, reconciliations, working papers, supporting schedules and documentation in accordance with the established compliance calendar. 2.Prepare and maintain detailed VAT schedules covering output VAT, input VAT, Reverse Charge Mechanism (RCM), imports, adjustments, and other relevant transactions. 3.Perform monthly reconciliations between VAT return data, source transaction records, sub-ledgers, and General Ledger accounts, investigate discrepancies, and coordinate required corrections. 4.Review tax invoices, contracts, purchase and sales transactions, and supporting documentation to verify appropriate VAT treatment in accordance with approved tax guidelines, escalating complex or unusual tax matters to the Senior Tax Specialist. 5.Prepare quarterly residual input tax recovery calculations and annual adjustment workings in accordance with established methodologies, ensuring complete supporting documentation for review.
UAE E-Invoicing Implementation and Operational Control 6.Provide hands-on operational support for the University's UAE e-Invoicing implementation and ongoing compliance, including customer and supplier master-data validation, mandatory invoice-field checks, tax-code mapping and transaction mapping. 7.Coordinate with Finance, Digital Technologies, Procurement, Accounts Payable, Accounts Receivable, and Accredited Service Providers (ASP) on system integration activities, workflow configurations, User Acceptance Testing (UAT), and resolution of identified defects. 8.Validate e-Invoice and credit-note data, monitor rejected transactions, validation failures and system errors, and follow up with the relevant business and technical teams for timely correction and resubmission. 9.Prepare and maintain e-Invoicing reconciliation reports, exception logs, operational procedures, controls, compliance checklists and supporting documentation, and provide day-to-day user guidance in accordance with approved procedures.
FTA Audits, Refunds and External Relations 10.Review, understand, and strictly adhere to all relevant institutional policies, procedures, and tax guidelines to carry out daily operational tasks effectively. 11.Support VAT refund claims, FTA queries, information requests, verification exercises, assessments and tax audits by preparing accurate schedules, reconciliations, working papers and supporting documentation. 12.Compile and validate information and supporting documents required for submissions or responses to the Federal Tax Authority, ensuring completeness and accuracy before review by the Senior Tax Specialist. 13.Coordinate assigned documentation and routine information requirements with external tax advisors, implementation partners, and external auditors, escalating technical or interpretation-related matters to the Senior Tax Specialist. 14.Prepare accurate and timely tax compliance reports, exception reports, reconciliation summaries, and other management information in accordance with departmental requirements. Systems, Process Improvement and Institutional Support 15.Coordinate with IT and ERP teams on the maintenance of tax-code matrices, interface requirements, and tax-related reporting enhancements within Oracle Fusion. 16.Coordinate with colleges, departments, and administrative units to collect required tax documentation and provide day-to-day guidance on compliance procedures. 17.Monitor updates to UAE VAT and e-Invoicing regulations, assisting in updating tax manuals, compliance checklists, and internal awareness materials. 18. Identify recurring tax compliance issues, reconciliation gaps, and process weaknesses and recommend practical improvements to strengthen accuracy, efficiency, and internal controls. 19. Execute additional professional duties and departmental
|