Accountant

3 weeks ago


مصر, Egypt Subsea 7 Full time

**Organisation**

**Position**

Accountant

**Vacancy ref**

81056

**Based in**

Cairo

**Business area**

Subsea & Conventional

**Contract type**

Staff

**Closing date**

31/01/2023

Vacancy information

At Subsea7, we take pride in being recognized globally as a leader across the Energy Industry. For 5 decades our people have delivered over 1,000 projects in all water depths across our energy hubs and we continue to do so, adapting and evolving in an ever-changing world. Our success and sustainability are only made possible by continuing to develop our assets and technology through innovation and collaboration, and importantly through the development and diversity of our people who every day ‘Make Incredible things Happen’ At Subsea7.

**DESCRIPTION OF ROLE**

The accountant is responsible for the provision of regular financial information in compliance with Group guidelines and local financial reporting regulations. The role holder may be assigned to a particular specialist function within Finance to carry out specialist activities.

All personnel are expected to contribute to creating a positive HSEQ culture within Subsea 7 and ensure familiarity with and adherence to local HSEQ codes and practices.

All personnel are also expected to contribute to creating a culture of ethics and integrity within Subsea 7 and ensure familiarity with and adherence to our Code of Conduct

**POSITION OVERVIEW**

**Generic Key Responsibilities & Activities**
- Ensure continuous compliance with all Finance policies, process and procedures and promote best practice
- Responsible for accounting processes and tasks (GL, AP, AR, Fixed Assets, Intercompany Transactions, Account reconciliation, Open Item Management)
- Perform month end closing functions (i.e., Accruals, month end closing schedules, consolidation packages)
- Liaise with respective stakeholders and assist in the preparation, posting and clearing of Accounts Receivable invoices.
- Perform WHT review of vendor / intercompany invoices
- Reconciliation and payment for intercompany invoices for JV entities
- Liaise with Corporate Finance team for bank matters.
- Preparation of Monthly JV Reporting, Legal Entity forecast.
- Preparation and submission of monthly WHT filing and annual income tax returns.
- Provide support / guidance to cost control teams on project reconciliation matters.
- Coordinate and liaise with external parties like external auditors, tax agents, corporate secretarial agents, banks where required
- Attend year-end audit, preparation of audit schedules and issuance of financial statements.
- Manage the local certification (ICV) process.
- Produce analyses of various performance indicators required by internal management and shareholders
- Prepare monthly balance sheet reconciliations
- Utilizes the knowledge management tools available to assist Finance to capitalize upon lessons learned and to perform in accordance with best practice, striving to mitigate risk, promoting safety and integrity consistently
- Any other ad-hoc assignments as required.
- Travelling required to regional office (mínimal)

**KEY QUALIFICATIONS/EXPERIENCE**
- 5 to 8 years of relevant experience
- Experience in the GCC is a plus preferably in Qatar
- Advanced MS Office user. Knowledge of SAP is a plus

**OUR OFFER**

We are an Equal Opportunity Employer. We are committed in creating a diverse workforce and look to offer an exciting and excellent international career opportunities as you develop your skills and aspirations.

Along with a range of employment benefits, career development opportunities (mentoring and development programmes) and a flexible working environment, our employees can also further enhance their work-life balance through our Remote Working Policy and wellbeing through a Medical Private Plan and a Wellbeing support initiatives.

**Join Us



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