Reporting to the Operations Controller or Assistant Controller, the Analyst, Finance will perform a variety of accounting duties in support of monthly reporting, month-end close, and processing of accounts receivable and cash.
Responsibilities
- Process month-end journal entries
- Assist with the month end closing process
- Reconcile Inter-Company accounts at month-end and mid-month
- Process accounts payable invoices & assists in setting up wire transfers
- Reconcile general ledger accounts on a monthly basis
- Prepares bank reconciliations weekly and uploads checks daily
- Processes journal entries to clear reconciling items
- Prepares the monthly cash forecast for three companies
- Assists with the month-end binder and Excel spreadsheet
- Performs such other duties as the supervisor may deem necessary
- Ensures all journal entries are checked in and filed for all companies
- Works with the auditors in providing supporting documents
Qualifications
Accounting Degree
Experience/Competencies
- 1-3 years of working in an Accounting department in Saudi Arabia
- Demonstrated knowledge of technical terminology, interpretations and experience in procedures and principles employed in applicable areas
- SAP experience preferred