General Ledger: 1. Ensure accuracy and completeness of accounting entries for business month end closing. 2. Preparation of analytical schedules of General Ledger accounts needed for the preparation of financial statements for audit and submission to Capital Market Authority purposes. 3. Reconciliation and preparation of monthly bank accounts, Withholding Tax return for remittance to DZIT. 4. Handling of outstanding bank accounts reconciling items. 5. Reconciliation of inventories. 6. Preparation of the annual ZAKAT/Income Tax returns for submission to DZIT. 7. Relief assignment for accounting analyst staff on vacation Payroll Accounting: 1. Analyze monthly increase/decrease of payroll accounts for PR employees and Secondees. 2. Reconciliation of monthly GOSI and Savings Plan contributions 3. Conduct SAP Payroll System logic testing for new employees benefits and payroll deductions in accordance with HR policies. 4. Preparation of final settlement for terminated employees. 5. Preparation of analytical schedules of payroll accounts needed for the preparation of financial statements for audit purposes. Payables Accounting: 1. Review and post in SAP Systems accounting entries for vendors' processed invoices, debit and credit notes. 2. Review and analyze vendor accounts and payable clearing accounts. 3. Preparation of aging of vendors accounts 4. Preparation of reclassification and adjusting entries for errors. 5. Preparation of analytical schedules of vendor accounts needed for the preparation of financial statements for audit purposes 6. Relief assignment for accounting analyst staff on vacation Billing and Receivables Accounting: 1. Monitoring of monthly selling price update and listed quantities delivered to customers 2. Review and analyze customer account balances 3. Reconciliation and review of non-trade receivable accounts 4. Preparation of aging of customers accounts 5. Preparation of sales reports 6. Relief assignment for accounting analyst staff on vacation Fixed Assets & Projects Accounting : 1. Monitoring of capital project costs 2. Preparation of reclassification and adjusting entries for erroneous charges to projects 3. Preparation of detailed capital asset list for capitalization in each capital project 4. Preparation of allocation of project cost to various capital assets for capitalization in each capital project 5. Preparation of asset records for capital assets for capitalization in each capital project for uploading in SAP System 6. Preparation of capital project reports requested by proponents and Management Experience/Specific Knowledge: 1. Fundamental knowledge of accounting principles, theories and practice 2. Knowledge in SOCPA and International Accounting standards 3. Knowledge in GOSI and DZIT regulations Competencies/Skills : 1. Team working 2.Analytical skills 3.Sensitive to relativity and changes in cost figures 4. Deadlines consciousness 5.Communication skills |