| Job Location | Saudi Arabia |
| Education | Not Mentioned |
| Salary | Not Mentioned |
| Industry | Other Business Support Services |
| Functional Area | Not Mentioned |
Jobs at this level are responsible for delivering end- to-end financial transactions, performing complex account reconciliations, zakat & tax implications, accruals and analysis of accounting/financial information. Also, they are responsible for generating zakat & tax and financial reports, resolving any identified accounting issues and verifying the adherence of financial processes to relevant standards.Accounting:-Undertake complex accounting activities within the specified area of work, ensuring accurate reconciliation and updated book keeping.-Analyse accounting process activities to increase their effectiveness and ensure timeliness and accuracy of accounting records.-Drive implementation of accounting policies and procedures and standardises reporting templates to ensure compliance with relevant procedural and legal requirements.-Ensure that relevant accounting procedures from a compliance and legal perspective are implemented so that work is carried out in a controlled and consistent manner. Financial Reporting:-Prepare all management information reports including routine and non - routine reports to ensure compliance with statutory and audit requirements and to provide internal customers with relevant information to support operational and strategic decision - making.-Evaluate accounting reports to identify variances and their causes, highlights discrepancies, if any and recommendations for course correction. Zakat & Tax:-Assist in representing STC and its subsidiaries in front of DZIT, appeal committees and board for any objections and queries.-Maintain good understanding of applicable Zakat & Tax laws, regulations, double taxation affecting STC and its operations. Generic Role:-Manage day to day team operations within a specified scope, by undertaking related work processes and ensuring accuracy. -Undertake relevant analysis to provide necessary information and assistance to internal and external customers.-Liaise with other supervisors to build effective working relationships and identifies synergies.-Drive data collation on the current and past performance of the hedge positions taken by STC.-Support team members and resolves routine queries to ensure work continuity.
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