Ensure that revenue and associated costs are reported in the accounting records in a timely and accurate manner in accordance with the Company recognition policies and applicable GAAP
Maintain Intercompany balance positions, reconciling with other group companies on a monthly basis
Credit control responsibility, communicating with customer and highlighting/ escalating internally where action is required on our side to expedite customer remittance
Undertakes the preparation of balance sheet reconciliations, particularly for intercompany positions and Work in Progress for review by the Finance Manager
Ensure that accruals and prepayments are reported in the accounting records in a timely and accurate manner in accordance with the Company recognition policies and applicable GAAP
Support the interim Finance Manager in ad hoc tasks
BACKGROUND And EXPERIENCE
Knowledge of computer based accounting systems including spreadsheet applications.
Accounting skills.
Practical experience of handling all aspects of a company's accounts payable and receivable function.
Capable of working to strict reporting deadlines.
Fluent in English
Able to work reliably and independently.
Reconciliation of various general ledger account balances, with particular focus on intercompany balances and Work in Progress (WIP_ are completed on a monthly basis and resolution of adjustments/queries arising on such within the next reporting month
Responsible for entering all source data into the computerised cash books ensuring disbursements are properly approved and documented
Accruals and prepayments are reported in the accounting records in a timely and accurate manner in accordance with the Company recognition policies and applicable GAAP
NATURE OF THE JOB
Revenue and associated costs are reported in the accounting records in a timely and accurate manner in accordance with the Company recognition policies and applicable GAAP
Sales Invoices/ Credit Notes are entered into the accounting system in a timely manner
Debts falling near due and/or overdue are followed up with the customer appropriately and actions required communicated/escalated internally as necessary to resolve
Reconciliation of various general ledger account balances, with particular focus on intercompany balances and Work in Progress (WIP_ are completed on a monthly basis and resolution of adjustments/queries arising on such within the next reporting month
Responsible for entering all source data into the computerised cash books ensuring disbursements are properly approved and documented
Accruals and prepayments are reported in the accounting records in a timely and accurate manner in accordance with the Company recognition policies and applicable GAAP
Responsible for ensuring that all incoming vendor invoices are registered, properly matched to supporting documentation for authorisation, are costed in accordance with the chart of accounts and are batched controlled, entered onto the computerised accounting system and disbursed.
Responsible for entering all source data onto the computerised cash books, ensuring disbursements are properly approved and documented.
Contact With Others
Close working relationship with Financial Manager and the SSC Finance Team members,
Continuous contact with product (i.e. operating) managers and their staff,
Liaises with counterparts in the U.S. & Europe,
Limited exposure to customers & the Elliott Sales Group via cash collection
Exposure to company external auditors.
SUPERVISION
Individual contributor with no supervisory responsibilities.
Specific Job Responsibilities/Competencies
Administers the registration of all suppliers invoices and credit notes.
Obtains authorisation of all other invoices which do not follow automatic matching process.
Ensure that all invoices and credit notes bear the correct cost allocation.
Administers the selection of invoices for payment according to their due date.
Ensure that invoices on dispute file are continually purged and cleared promptly.
Responsible for collecting other source data i.e. time records, material issue notes, etc. for entry into the job cost ledger.
Prepares customer billings in a timely manner ensuring they adhere to contract.
Ensures that time and expenses of warranty jobs were invoiced internally.
Responsible for ensuring that weekly and monthly expense reports are expedited on a regular basis and that they are properly documented prior to being input onto the accounting records.
On a monthly basis reconciles individual expense reports to the general ledger and informs controller of discrepancies without delay.
Assists Finance Manager in the collection of overdue receivables.
Assists Finance Manager with the reconciliation of various general ledger account balances.
Responsible for maintaining an efficient filing system in respect of all source documentation.
Perform special projects and assignments as requested by the Finance Manager.
Base Office Location Abu Dhabi, UAE Work Schedule 3 days work from home, 2 days work from Office. Temporary position for 7 months. The world turns to Elliott. Customers throughout the world choose Elliott for the design, manufacture and service of their critical rotating equipment. Elliott's global service network routinely installs, overhauls, repairs, upgrades and rerates machines from any manufacturer. Customers everywhere turn to Elliott for precision engineering, extraordinary reliability and unparalleled service. To learn more about our Job Applicant Privacy Notice, please click here.
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