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Play a key role in supporting the Company's upstream oil and gas operations by managing financial reporting, accounting, budgeting, cash flow management, tax compliance, and statutory reporting. Partner with management, operational teams, partners, and HQ to deliver accurate financial insights, ensure regulatory compliance, and support strategic business decisions.
This role offers the opportunity to contribute directly to the company's financial performance, governance, and long-term growth.
Job Responsibilities:
Job ID: 151454451
Skills:
Internal Controls, reporting frameworks, Controls, finance processes, accounting, Policies, Forecasting, ERP systems, budgeting, Tax, Variance Analysis, Product Costing, margin improvement, Cash Flow Management, Audit Compliance, Treasury, capital expenditure control, Inventory Management, financial reporting, business performance analysis, Financial Planning
Skills:
Financial Consolidation, Intercompany accounting, Group reporting, Accounts receivable, General ledger management, Tax Compliance
Skills:
Internal Controls, Banking, Financial Planning, Process Improvement, Capital, Variance Analysis, Tax, Financial Reporting, IRAs, Risk Management
Skills:
google sheets , Netsuite, Zoho, Excel, Xero, Cpa, CA Singapore, Qualified accountant, Quickbooks, cloud accounting platforms, ACCA
Skills:
SAP, GST filings, Statutory Reporting, accounting, analytics tools, Reconciliation, month-end closing, ERP systems