Qureos

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Job Type: Full-time
Industry: Piping Manufacturing

About the Role

We are seeking an experienced Accountant to support the company’s financial stability through effective cash management, treasury operations, and accurate financial reporting. This role is essential in maintaining liquidity, ensuring disciplined cash control, and providing reliable financial information to support operational and management decisions within a manufacturing and project-driven environment.

Role Summary

The Accountant is responsible for managing daily cash positions, cash flow forecasting, payables, and treasury-related banking activities. The role also supports monthly financial closing, reconciliations, and reporting, ensuring accuracy, compliance, and timely delivery of financial information.

Key Responsibilities

  • Manage daily cash positioning, monitoring inflows and outflows to ensure adequate liquidity for operations.
  • Prepare and maintain short-term and medium-term cash flow forecasts, highlighting risks and funding requirements.
  • Manage accounts payable processes, ensuring timely and accurate payments to suppliers and contractors.
  • Handle treasury operations, including bank coordination, account management, and compliance with internal controls.
  • Execute and monitor online banking transactions, including transfers, payroll-related payments, and supplier settlements.
  • Perform bank reconciliations and investigate discrepancies on a timely basis.
  • Manage and reconcile corporate credit card transactions, ensuring proper documentation and expense classification.
  • Support monthly financial closing, including journal entries, accruals, and balance sheet reconciliations.
  • Prepare monthly financial reports related to cash flow, payables, and treasury activities for management review.
  • Ensure compliance with company policies, accounting standards, and internal control procedures.
  • Assist with audits, bank confirmations, and financial data requests as required.
  • Identify opportunities to improve cash utilization, payment processes, and treasury efficiency.

Internal & External Interactions

Internal:

  • Work closely with Chief Accountant, Accounts Payable, Procurement, and Operations teams to align cash planning with operational needs.
  • Coordinate with HR and Payroll teams for salary-related payments and reconciliations.

External:

  • Liaise with banks, financial institutions, suppliers, and auditors on treasury, payment, and reconciliation matters.

What We’re Looking For

Education:

  • Bachelor’s degree in Accounting, Finance, or a related field (required).
  • Professional certification (ACCA, CPA, CMA, or equivalent) is an advantage.

Experience:

  • Minimum of 5–8 years of relevant accounting experience, preferably within manufacturing and construction industries.
  • Proven experience in cash management, treasury operations, and cash flow forecasting.

Skills & Knowledge:

  • Strong understanding of accounting principles, cash flow management, and financial controls.
  • Hands-on experience with online banking platforms and multi-bank environments.
  • Proficiency in ERP systems (Oracle Fusion or similar) and advanced Excel skills.
  • Experience handling payables, bank reconciliations, and credit card transactions.
  • Strong analytical, organizational, and problem-solving skills.
  • High level of accuracy, attention to detail, and confidentiality.

Core Competencies

  • Financial Discipline: Maintain strong control over cash and treasury activities.
  • Analytical Thinking: Translate cash data into meaningful insights and forecasts.
  • Attention to Detail: Ensure accuracy in transactions, reconciliations, and reporting.
  • Reliability & Accountability: Deliver timely and dependable financial information.
  • Collaboration: Work effectively with cross-functional and external stakeholders.

Why Join Us

You’ll be part of a well-established piping manufacturing organization where finance plays a vital role in supporting operational stability and business growth. This role offers hands-on exposure to treasury and cash management in a dynamic environment, with close interaction with senior stakeholders and decision-makers.

How to Apply

Please submit your CV through Indeed. Only shortlisted candidates will be contacted.

Job Type: Full-time

Application Question(s):

  • Do you have hands-on experience in cash flow forecasting and treasury operations?
  • Are you willing and able to work full-time on-site in Mesaieed, Qatar?
  • What is your current salary expectation?
  • What is your notice period to join, if selected?

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