Experienced Accountant with a demonstrated history of working in the Oil & Energy industry. Skilled in Analytical Skills, Accounting, Accounts Payable, Management, and Inventory Management. Strong accounting professional with a Bachelor's degree focused in Business/Commerce.
To ensure the books of accounts are maintained as per the standards and timely manner.
To monitor procedures in respect of checking and authorizing accounts for payment, as part of the finance team.
Review monthly bank reconciliation statements of all bank accounts and update the line manager on its timely compliance.
Under the direction of the Manager of Finance & Business Services research, analyze, cost, & implement financial projects, policies & procedures.
Assist the Manager of Finance & Business Services in budget preparations & preparation of the financial forecast, including any required analysis.
Assist in the preparation & reconciliation of audit working papers for external audit.
Under the direction of the Manager of Finance & Business Services, provide support to external & internal auditors.
Review & approve operational invoices from all departments.
Review the Pre-Authorized Payments listing to ensure that it accurately reflects.
Establish monthly analysis & reconciliations to be prepared by Finance Department staff to provide increased accuracy & consistency in financial reporting and follow up on completion on a monthly basis.
Ensure that financial & accounting information is processed according to internal controls & policies.
Provide financial analysis support to the Manager of Finance & Business Services, including preparation of variance analysis & statistical data reports.
Prepare & enter journal entries into the general ledger for the year end closing for approval.
Supervise & motivate staff to perform their best.
Recommend & maintain a system of policies and procedures that impose an adequate level of control over Finance Department activities.
To provide training sessions with the support from line manager to finance & non-finance staff.
To carry out any other reasonable duties and responsibilities within the overall function, commensurate with the grading & level of responsibilities of the p
Implementation of ERP Software Tijarat with full operation.
Prepares asset, liability, and capital account entries by compiling and analyzing account information.
Documents financial transactions by entering account information.
Recommends financial actions by analyzing accounting options.
Summarizes current financial status by collecting information; preparing balance sheet, profit and loss statement, and other reports.
Substantiates financial transactions by auditing documents.
Maintains accounting controls by preparing and recommending policies and procedures.
Guides accounting clerical staff by coordinating activities and answering questions.
Reconciles financial discrepancies by collecting and analyzing account information.
Secures financial information by completing data base backups.
Maintains financial security by following internal controls.
Prepares payments by verifying documentation, and requesting disbursements.
Answers accounting procedure questions by researching and interpreting accounting policy and regulations.
Maintains customer confidence and protects operations by keeping financial information confidential.
Maintains professional and technical knowledge by attending educational workshops; reviewing professional publications; establishing personal networks; participating in professional societies.
Accomplishes the result by performing the duty.
Contributes to team effort by accomplishing related results as needed.
Scrutinizing of bills with quotations, purchase orders for prices and GRN for quantity for payments
Preparation of WHT Tax working & GST Working
Daily Bank status Reports
Fixed assets (additions, deletions & depreciation statements).
Counter checking of all staff / Parties bill i.e. medical, purchase.
Reconciliation of Bank Accounts, Customer Account & Vendor.
Preparing of Customer Aging report and submitted to management for review.
Posting in ERP Microsoft Dynamics
• Input to Sale, Purchase & Export Invoice in Software.
• Putting GRN of Finish Goods & Invoice to Customer as well.
• Monthly reporting of Stock.
• Monthly Physical Inventory of Raw Material & Finish Goods.
• Correspondence with sales executive.
• Scrutinizing of bills with quotations, purchase orders for prices and GRN for quantity for payment.
• Preparation of payroll.
• Posting in Foxprox.
• Costing of Tissue Products.
• Putting GRN of Finish Goods & Invoice to Customer as well.
• Daily reporting of sale production forecast.
• Daily reporting of Issuance of Raw material to production site.
• Correspondence with sales executive about sale/market forecast and market strategy.
• Scrutinizing of bills with quotations, purchase orders for prices and GRN for quantity for payment.
• Preparation of payroll.
• Preparation of WHT Tax working & 1% GST Working.
• Bank Reconciliation. & Bank status Reports.
• Posting in Sage & Aquara.