Job Description
Accountant – Facilities Management
Process and record invoices and related transactions.- Calculate and post monthly loan interest and depreciation.
- Reconcile interest on asset transfers and intercompany GL accounts.
- Prepare and post required journal entries.
- Account for leasehold interest and related adjustments.
- Monitor and reconcile post-dated cheques (PDCs).
- Monitor bank balances and manage cash flow.
- Perform monthly bank reconciliations.
- Prepare and issue invoices based on agreements and completed jobs.
- Process shared-cost and intercompany invoicing.
- Prepare cash flow forecasts and reports.
- Monitor and reconcile inventory records.
- Perform monthly financial closing and prepare MIS reports.
- Support the preparation of external audit schedules.
- Prepare ad hoc reports and provide VAT-related support.
Requirement
- Accounting experience, preferably in the Facility Management industry.
- Experience in accounting and month-end closing.
- Strong knowledge of Excel and Oracle EBS ERP/accounting systems.
- Good analytical, reconciliation, and problem-solving skills.
- High attention to detail and ability to meet deadlines.
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