JOB DESCRIPTION:
Provide cash accounting expertise and execution in a timely, accurate and efficient manner within the global petroleum accounting organization.
Processing of daily banking transactions
Complete general ledger reconciliations on a monthly basis
Assist with the correct allocation of unidentified cash movements
Perform manual uploads of bank statements to general ledger
Monitor automated interface from bank to general ledger
Addressing queries, processing journals and other ad-hoc cash requirements
Identify process improvement opportunities
Implement incremental process improvement initiatives
Contribute to and support global process standardisation and continuous improvement
Support the open communication of ideas and information within the local functional team
Assist with analysis and query resolution as appropriate
Compliance with global petroleum accounting policy and group level documents
Assist business partners within the division in bank account set up and configuration
Identify areas of continual process improvement and propose corrective action where necessary
Comply with established standards, processes and controls and drive global consistency in
methodologies in bank account and cash management controls including interfaces with Treasury
REQUIREMENTS:
Background from large corporate cash or treasury accounting
Preferably tertiary qualified in an Accounting or Accounting related discipline
2+ years of relevant professional experience, preferably in upstream oil & gas
Experience working with technical systems including SAP, MS Office, Close Calendar, CLOCO
Superior interpersonal skills to handle various customer and stakeholder groups
Ability to deliver results and be goal focused
Excellent time management skills required
Ability to solve difficult problems resulting in effective solutions
EOE/M/F/V
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GHG Corporation - 5 months ago
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