Accountant Assistant

Seaandshore

Muscat

On-site

OMR 4,200 - 7,200

Full time

7 hours ago
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Job summary

Seaandshore is seeking an Accountant Assistant in Muscat to support day-to-day bookkeeping and financial administration. You will handle accounts payable/receivable, data entry, and ledger reconciliation under supervision.

The ideal candidate holds a bachelor’s degree in accounting or finance, with 1–3 years of relevant experience and a meticulous, organized approach to records and reporting. This role offers growth in a busy finance team.

Qualifications

  • 1–3 years of proven experience in bookkeeping, accounts payable and accounts receivable.
  • Experience with bank reconciliation and ledger maintenance.
  • Familiarity with financial regulations and internal controls.

Responsibilities

  • Process accounts payable and receivable, invoicing, expense reports, and POs.
  • Enter data into accounting systems and balance ledgers daily/monthly.
  • Reconcile bank statements, petty cash, and card charges with GL.
  • Prepare routine accounting reports for audits and management.
  • Maintain secure filing systems for financial docs.
  • Ensure compliance with international and local regulations.

Skills

Transaction processing
Record keeping
Reconciliation
Reporting
Administration
Compliance

Education

Bachelor’s Degree in Accounting or Finance

Job description

We are looking for Accountant Assistant

Education

Bachelor’s Degree holder in accounting or Finance is preferred.

Location

Muscat, Sultanate of Oman

Experience

1–3 years of proven experience in bookkeeping, accounts payable and accounts receivable.

Responsibilities
  • Transaction Processing: Reconcile and process accounts payable and receivable, including invoices, expense reports, and purchase orders.
  • Record Keeping: Enter financial data accurately into accounting databases and balance daily/monthly ledgers.
  • Reconciliation: Reconcile bank statements, petty cash, and credit card charges with the general ledger, identifying and resolving any payment discrepancies.
  • Reporting: Assemble financial data for periodic audits and prepare routine accounting reports for management.
  • Administration: Maintain organized and secure physical and digital filing systems for all financial documentation.
  • Compliance: Adhere to international, and local financial regulations and company policies.
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