What we need:
Accountant will carry out day-to-day financial accounting services such as compilation, consolidation, and analysis of financial data to ensure compliance with internal regulations and external standards, whilst ensuring payments are correct, properly accounted for and processed within the defined timelines.
Accounts Payable Transaction Processing
- Verify and follow up on daily-received invoices and cheque requests by matching them with the purchase orders, and payment terms and agreements to ensure accurate verification and timely and accurate payment of invoices.
- Set invoices for payment, update payment entries into the accounts payable system and process electronic transfers and payments to ensure compliance with the accounts payable process.
- Receive and verify expense reports, allocate them to the correct accounts and cost centres and process the payments to ensure timely payments to employees.
- Update and post accounts payable transactions in the general ledger, generate account payable reports and reconcile processed work by verifying entries and comparing system reports to balances, to ensure timely and efficient reporting and reconciliation of transactions on a monthly basis.
- Follow up with suppliers in case of errors on the invoice or if a further breakdown of costs is required to ensure correct booking and documentation.
Accounts Receivables Transaction Processing
- Generate invoices for the Project Company as per the payment schedule and send it to them, to enable collection of company receivables.
- Post payments by recording transactions and entering them into the general ledger or accounting software and monitor the deposits in the bank to ensure that all payments are accounted for and properly posted.
- Generate financial statements and monthly reports detailing paid and unpaid invoices and other accounts receivable status to ensure all stakeholders are informed and updated and any key issues are highlighted.
- Prepare and review the reconciliation of all relevant ledger accounts and verify the validity of account discrepancies in order to ensure all adjustment entries posted in the cost centre system have been passed correctly.
Month-end closing activities
- Conduct and execute closing activities for NOMAC Holding Company / KSA subsidiaries, on a monthly basis in line with accounting policies and procedures to ensure transactions are recorded accurately and reflect the financial standing.
Issue Resolution
- Liaise with line manager and other departments for any queries, clarifications, pending approvals, and matters related to processing of invoices, in order to ensure timely resolution.
- Monitor all vendor calls and liaise with suppliers, vendors, banks etc., to resolve any issues and cases with respect to accounts payable transactions to ensure timely resolution of issues.
Reporting
- Develop periodical statutory financial reports including financial statements and disclosures, auditing reports, and submit it to the line manager for review, in order to ensure accuracy and comprehensiveness.
Audits
- Assist in the completion of audits for the KSA region by providing all the required information to the auditors, providing justifications related to any discrepancies and making relevant changes based on their suggestions, to ensure timely completion and implementation of audit results.
Documentation and Filing
- Maintain accounting files and documentation accurately, to ensure compliance with company policy and accepted accounting practices.
Policies, Processes and Procedures
- Adhere to all relevant organizational and departmental policies, processes, standard operating procedures, and instructions so that work is carried out to the required standard and in a consistent manner.
Continuous Improvement
- Contribute in the identification and implementation of change initiatives, programmes and projects in line with the organization’s standards.
Safety, Quality & Environment:
- Comply with all relevant safety, quality, health and environmental procedures to ensure a healthy and safe work environment.
Who will fit:
- 3-5 years of experience in accounting.
- Bachelor’s degree in Accounting, Finance or any related field.
- Preferably South African national.
Accountabilities:
- Good Communication skills.
- Attention to details.
- Good data entry skills.
- Strong problem-solving skills, accounting principles knowledge, documentation skills, research and resolution skills, data analysis and multi-tasking skills.
- Thorough knowledge of accounting principles and systems.
- Ability to interact with employees and vendors in a professional manner.
- Ability to work independently in a fast-paced and high-volume environment with emphasis on accuracy and timeliness.
About NOMAC
Founded in 2005, and firmly established in the GCC, North Africa and South, Middle Europe and East Europe regions, providing high quality O&M (Operation & Maintenance) services for power production and water desalination projects, regionally and globally.
More of us, and opportunities in www.nomac.com