33345

Analyst, Finance

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:

  1. Process month-end journal entries
  2. Assist with the month end closing process
  3. Reconcile Inter-Company accounts at month-end and mid-month
  4. Process accounts payable invoices & assists in setting up wire transfers
  5. Reconcile general ledger accounts on a monthly basis
  6. Prepares bank reconciliations weekly and uploads checks daily
  7. Processes journal entries to clear reconciling items
  8. Prepares the monthly cash forecast for three companies
  9. Assists with the month-end binder and Excel spreadsheet
  10. Performs such other duties as the supervisor may deem necessary
  11. Ensures all journal entries are checked in and filed for all companies
  12. Works with the auditors in providing supporting documents

 

Qualifications:

Accounting Degree

 

Experience/Competencies:

  1. 1-3 years of working in an Accounting department in Saudi Arabia
  2. Demonstrated knowledge of technical terminology, interpretations and experience in procedures and principles employed in applicable areas
  3. SAP experience preferred