Senior Accountant
- Recruiter
- Muna Noor International LLC
- Location
- Muscat, Oman
- Salary
- RO 900
- Posted
- 18 May 2022
- Closes
- 07 Jun 2022
- Job role
- Accountant
- Contract type
- Permanent
- Hours
- Full time
- Experience level
- Manager
Senior Accountant with 12 years of experience and currently in Oman required immediately
- Establish reporting, monitoring, and accountability systems that will ensure highest standards of financial integrity are being attained.
- Ensure the financial infrastructure is stable and supports the demands of future growth.
- Help provide strategic analysis and support to the resource allocation process of the Group.
- Ensure that resources are aligned as designated by the Top Management, and that maximum benefit is realized.
- Collaborate with front line employees, using effective communication and influencing skills to support positive change initiatives.
- Oversee the operations of the department and direct reports.
- Ensure alignment with the mission, core values, policies, and strategies of MNI Group.
- Ensure accountability and compliance with applicable legal, governmental, and regulatory requirements.
- Undertake special projects at the direction of finance Manager in areas of financial systems development, and other areas to be determined.
- Construct and monitor reliable control systems and financial procedures.
- Ensure that record keeping meets the requirements of auditors and government agencies.
- Implement operational best practices.
- Monitor and direct the implementation of strategic business plans.
- Assist in formulating the company's future direction and supporting tactical initiatives.
- Oversee cash flow planning and ensure availability of funds as needed.
- Help the Finance Manager to Lead Groupwide cost control initiatives.
- Other duties as assigned within the scope of responsibility and requirements of the job.
- Manage vendor relationships.
- Ensure bank accounts are managed in accordance with finance and treasury policies.
- Ensure that monthly bank reconciliations are performed in accordance with the Bank Reconciliation Procedure for all bank accounts and approved on a timely basis.
- Promote efficient and innovative solutions to cash management based on current trends. Such solutions might include electronic banking and mobile banking, when feasible and appropriate.
- Designs and implements internal controls adapted to such innovative solutions.
- Maintain good working relationships with banks, suppliers, and customers.
- Preparation of Monthly Reports for the group companies
- Filing VAT return for group companies
- Filing ARI for Group companies and overseeing assessment being done properly
- Preparation of Budgets for each company with coordination with Operation and Finance Manager.
- Oversee timely and accurate financial year-end closure and submission of year-end reports.