Role Purpose : Supports Financial Controllers in monthly / yearly closing and maintain proper records of Inventory, Expense accruals and VAT with timely recording and monthly reporting.
Inventory Control
Monitor and report inventory movements including incoming and outgoing shipments, inter-branch transfers, sales and purchase returns.
Prepare report for inventory valuation, ageing and adjustments.
Reconcile inventory ledger with General Ledger on a monthly basis.
Accruals and Prepayments
Review and propose accruals on monthly basis for various types of expenses and their subsequent adjustment.
Prepare schedule of prepayments and propose monthly vouchers for adjustments.
Month end activities
Prepare Journal Vouchers for month end including accruals, provisions and adjustments.
Prepare trial balance reconciliations for sub-ledgers with general ledgers.
Finalize the trial balance and prepare a set of Financial Statements for review by the Financial Controller.
VAT reconciliation
Keep abreast with latest rules and regulations regarding VAT and prompt early action by the Company.
Prepare monthly reconciliation of Input VAT with purchasing reports.
Prepare monthly reconciliation of Output VAT with sales reports.
Prepare VAT return on a monthly basis.
Coordinate with GAZT for monthly return submission and subsequent queries.
Support in provision of information and reports in VAT audits to be conducted by GAZT.
Education & Certifications Bachelor in Accounting
Required Years Of Experience
2-3 years of experience
Seniority level
Mid-Senior level
Employment type
Full-time
Job function
Accounting / Auditing and Finance
Industries
Human Resources Services
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Accountant • Riyadh, Saudi Arabia