Industry

Oilfield Services

Designation

Accountant

Country

Saudi Arabia

Job Description

Job Description-



Job Purpose

The purpose of the Financial Officer job is to ensure the proper delivery of finance-related â?? accounting, controlling, and cash â?? services to all Business Units at Clint Company



Knowledge, Skills, Experience and Qualifications

âBachelor degree in finance or equivalent experience practicing accounting /controlling tasks

Strong interpersonal/diplomatic, communications, and administration skills

Capable to work under pressure in a delocalized environment with dual hierarchical/functional (hard lined) to Financial Control, and administrative (dotted), to BU, reporting

At least, pursuing qualifications such as CPA, CFA, CMA

Out of total experience Minimum 5 years experience in the finance function, preferred in Marine Services business.

Fluent in English & Arabic

Certification Requirement

    currently looking Finance Manager for one of our client company in Marine Offshore Services in Saudi Arabia. Key Areas required : Candidate who has experience working for Marine Offshore Services Company which includes AHT, AHTS, DP1,DP2 vessels. Candidate who has at least managed Finance Manager role supporting large fleet of vessels. This is a very niche requirement, we need somebody who is technically strong and who has the personality to deliver and achieve. Principal Accountabilities Responsible for the day to day accounting processes of the Business Unit where he is delocalized Responsible for the most part of the implementation of the management of payables, receivables, and payroll processes Performs the various, generally monthly, financial reconciliations process for various items including clients, suppliers, payroll, inventories, etcâ?¦ Responsible for paying Insurance premium in a timely manner Responsible for the management of fixed assets at Rawabi (insuring proper visibility, inventorying, depreciation, â?¦) Responsible for the BU Cash Flow Management (cash flow forecast) and for assisting BUâ??s to collect promptly Responsible for BU controlling activities (products/services/projects costing and controllingâ?¦) Responsible to help BUs analyze controlling figures in order to help BU management determine where improvement initiatives may be launched (ABC, â?¦) Responsible, in coordination with BU GM, for producing the monthly Financial Reports Responsible for the proper â??reconciliationâ?? of BU level management and financial reporting when differ due to some BU management perimeter being different from BU legal perimeter Responsible for the preparation of the financial figures for the yearly Budget presentation Responsible for the preparation of the financial figures for the Quarterly Board Budget and Forecast Presentations Accountable of proper delivery of cash services to the BU by the Cash custodians Communications and Working Relationships Interfaces with external parties such as clients, suppliers, insurance providers, etc. Interfaces with Business Units Managers and Head of Departments to ensure the proper delivery quality (accuracy, timeliness, reliability) of finance-related services Interfaces with BU GMs and departments head to ensure proper accounts receivables, payables, fixed assets processes Interfaces with BU GMs and sales departments to ensure prompt collection of receivables and lower risk of bad debts Interfaces with Management Reporting & Central Accounting Unit Head for financial accounting processes, and for management reporting and controlling activities Interfaces with the Bank Relations Unit Head for Cash Flow management related processes (forecast, daily bank reconciliationâ?¦) Interfaces with Management Reporting & Central Accounting, Internal and External Audit, for financial audits Interfaces with Personnel

How To Apply

(For more details, feel free to contact us at hr6@falconmsl.com or click here)

Location :