Introduction

What are you going to do 

Responsibilities

  • Performing and checking invoice verification to ensure purchase process are in compliance with policies and procedures.
  • Ensure supplier invoices are correctly coded and input in a timely manner in the ERP system.
  • Reconciliation of Statement of Accounts to ensure all invoices have been captured, request copy invoices where appropriate
  • Ensure timely and accurate payment of supplier invoices and staff expense claims.
  • Create electronic bank payment transaction and posting of payment journal.
  • Daily update of bank book.
  • Handling queries from suppliers and internal stakeholders.
  • Handle bank reconciliation and other bank-related matter.
  • Prepare monthly and quarterly accrual listing.
  • Prepare monthly intercompany rebill.
  • Prepare monthly journals for review.
  • Intercompany reconciliation.
  • Prepare monthly audit schedules.
  • Ensure compliance with regulations, internal controls and statutory audit requirements.
  • Compilation of documentation per internal controls requirements
  • Undertake ad-hoc duties as requested

Qualification

  • At least a diploma in Finance, Accountancy, or other related field
  • At least 2 – 3 years of experiences in accounting with exposition to similar functions in an international environment preferably in oil and gas industry.

199603098RR1658969

Essential skills and knowledge 

What we offer