Job purpose:
To maintain vessel wise books of accounts and ensure accurate filing of compliance (Audit, VAT etc.).
Job role description:
- Managing monthly, quarterly, and annual consolidation and reporting for the Asset owning Entity.
- Responsible for setting up the closing process, calendars and requirements.
- Inter/Intra Company balances review and reconciliations.
- Provide accurate monthly management reports to the respective Business Unit heads/Head of department as per set deadlines.
- Updating the Chart of Account and ensuring accounting policies are followed for each entity. Booking of Opex Cost, Accruals, Provision, and Depreciation etc. on monthly and yearly Basis.
- Reconciliation of Bank, Intercompany, Suppliers, Customer, and all General ledger on a monthly Basis.
- Preparing & Filing of VAT returns. Responding to queries initiated by banks and tax authority with respect to compliance and tax matters.
- Coordinating with External auditors and responding to External Audit queries
Key interactions (Internal | External):
External: Customers | Vendors | Customers | Agencies
Internal: Finance | HR & Admin | Operations | Commercial | Sales Marketing
Education requirements
Graduate
Graduate
Language requirements:
English – English and others if available
Background and experience:
- Professionally Qualified/Graduated from University
Competencies and skills:
- Prior Experience in Accounting & Finalisation.
How to apply
Please fill out the application form below and share your cover letter and CV.
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