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We are seeking a detail-oriented and collaborative Accountant to support day-to-day accounting operations and provide management with accurate financial information through account analysis and financial reporting. This role works closely with the Controller to support month-end close, maintain the general ledger, reconcile accounts, and assist with internal financial statements. The ideal candidate thrives in a fast-paced environment, communicates effectively across departments, and is comfortable working in a small team where flexibility and a willingness to support multiple functions are essential.
Assist the Controller with daily accounting operations and monthly, quarterly, and year-end close activities.
Prepare journal entries, including accruals, allocations, and adjustments.
Maintain and support the general ledger by ensuring accurate records and documentation.
Reconcile balance sheet accounts, bank accounts, and other key accounts.
Assist in preparing internal financial statements and management reports.
Analyze account activity and research variances or discrepancies.
Amortize prepaid expenses and maintain supporting schedules.
Support financial statement consolidation and related reporting activities.
Assist with payroll preparation and related accounting entries, as needed.
Maintain organized records and provide supporting documentation for audits.
Collaborate with internal departments and provide accounting support as needed.
Contribute to process improvements and support a team environment where employees assist across functions when necessary.
Perform other related duties as assigned.
Strong understanding of general accounting principles and financial reporting.
Proficiency in Excel and ability to work with financial data and reconciliations.
High attention to detail, accuracy, and organization.
Ability to prioritize tasks and meet deadlines in a fast-paced environment.
Strong verbal and written communication skills and professional interpersonal presence.
Ability to maintain confidentiality and handle sensitive financial information.
Team-oriented mindset with flexibility to support multiple responsibilities
Bachelor’s degree in Accounting or Business with an emphasis in Accounting required.
2–5 years of relevant accounting experience.
CPA or CPA candidate preferred.
Experience supporting month-end close and balance sheet reconciliations required.
Experience with Peachtree or similar accounting software preferred.
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