At ABC, we brew the joy of true togetherness to inspire a better world. A big part of that means brewing better people with the heart of our company in our four values:
- Passion for consumers and customers
- Care for people and planet
- Enjoyment of life
- Courage to dream and pioneer
Duties and Responsibilities
- Prepare Local standalone financial statement for all legal entities
- Maintain intracompany sales
- Handling scrap customers in all legal entities
- Preparation of monthly Tax Return accruals.
- Support external audit and taxation team with all required reconciliations.
- Clearing of manual GL account
- Posting accrual/provision (legal & taxes) and following on actual
- Handling prepaid expenses
- Follow up and analysis all the other debit & credit balances (accrual, prepaid expense …etc)
- Handling external auditor preparation for book auditing and preparation of legacy financials
- Intracompany balances confirmation
- Calculate and post Corporate Income tax
- Analysis of all expenses balances (SM&D, Admin, Production, other expenses, other income)
- Analysis for all intracompany balances
- Checks Runbook tools (checklist with deadline).
- Validate accruals against actuals.
- Analyzes and validate prepayments.
- Calculates post accruals.
- Records all manual journal entries supported with the proper documentation.
- Ensures that monthly closing is accurate, efficient and on time.
- Performs price matching (an analysis to show that the finished goods sold by the plants is equal to the products received by the distribution warehouse; product, value, quantity & price per unit).
- Validates and post all types of provisions.
- Handles scrap material customers in the legal entities (reports from plant, records invoices, follows up on the scrap customer payment, performs clearing, etc.).
- Manages clearing accruals and prepayments.
- Reviews intra-company sales and conducts intra-company matching analysis.
- Perform all balance sheet account reconciliations
- Prepares consolidated provision movement report with all the relevant data & details.
- Prepares standalone income statements mapping.
- Conducts expenses and revenue analysis.
- Analyzes all intra-company transactions between all legal entities.
- Prepare the journal entries to be typed manually on the accounting books.
- Supports the taxation team with all required reconciliations and reports for tax authorities and inspections.
- Prepares financial statements with all disclosures when required.
- Reviews and corrects financial statements before the final issuance.
- Supports external auditors with all required reconciliations and uploads them on their portal.
Education & Experiences
Educational Background: Bachelor’s degree in Commerce or Business
Years of Experience: 1-3 years of relevant experience preferably in FMCGs.
Qualifications & Other Requirements
- Excellent command of English Language
Personal Skills
- Analytical Skills
- Interpersonal & Communication Skills
- Pro-active & Teamwork oriented