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Finance Executive

Landmark Group

Muscat

On-site

OMR 15,000 - 20,000

Full time

Today
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Job summary

A leading retail group in Oman is seeking a skilled finance professional to manage treasury operations, accounts receivable, and vendor payments. The ideal candidate will hold a bachelor’s degree in Finance/Accounting/Commerce and possess 3–5 years of relevant experience. Knowledge of ERP systems and strong analytical skills are essential. This position demands excellent communication and time management abilities.

Qualifications

  • 3–5 years of experience in finance, treasury, or AR operations.
  • Strong attention to detail and deadline-driven mindset.
  • Familiarity with Oman banking procedures is a plus.

Responsibilities

  • Prepare trade financing documents and process payments.
  • Manage weekly cash flow and fund position reports.
  • Validate vendor invoices and initiate payments.

Skills

Finance operations
Treasury management
Reconciliation skills
Analytical skills
Communication skills
Time management

Education

Bachelor’s degree in Finance / Accounting / Commerce

Tools

ERP systems (ORION, TMS)
Excel (pivot, v-lookup, dashboard)
Job description
Key Responsibilities
Treasury Management
  • Prepare trade financing documents and process payments.
  • Create, settle, and track loans in TMS; maintain import loan trackers.
  • Manage weekly cash flow, fund position reports, and online bank transfers.
  • Handle Oman Borrowing MIS reporting and coordinate with the Dubai Treasury team.
  • Prepare monthly interest JV and ensure timely treasury settlements.
Accounts Receivable (AR)
  • Prepare partner billing, rebate invoices, and credit notes (e.g., LS, Shukran).
  • Manage bulk sale invoices, RNA hanger invoices, and lost & found invoices.
  • Book receipts in ORION for inward payments and miscellaneous income.
  • Share invoice and receipt inputs with TCS AR and IC teams.
  • Reconcile AR vs GL and track unapplied receipts (FAR schedule).
Vendor Payments & Staff Settlements
  • Validate vendor invoices and initiate payments via TMS.
  • Process weekly RNA and Ogloba payments, and staff settlements on SCB portal.
  • Prepare petty cash cheques and monitor cash across all locations.
C2C (Customer-to-Cash)
  • Maintain trackers for gift vouchers (Oasis, Emax) and manage C2C review calls.
  • Address C2C and credit insurance queries and declarations.
Audit, Budgeting & Reporting
  • Support internal and external audits with document preparation.
  • Assist in cash flow budgeting and variance reporting.
  • Generate weekly dashboards, MIS, and fund position reports.
Banking & Other Tasks
  • Handle cheque deposits, bank confirmations, and interbank transfers.
  • Maintain coordination with treasury and finance teams for reconciliations.
  • Manage customer creation in MDM and ensure data accuracy.
Required Skills & Qualifications
  • Bachelor’s degree in Finance / Accounting / Commerce.
  • 3–5 years of experience in finance, treasury, or AR operations.
  • Knowledge of ERP systems (ORION, TMS) and Excel (pivot, v-lookup, dashboard).
  • Strong reconciliation, analytical, and reporting skills.
  • Excellent communication, coordination, and time management.
  • Attention to detail and deadline-driven mindset.
Preferred Skills
  • Exposure to retail or multinational finance environments.
  • Familiarity with TCS systems, MIS reporting, and Oman banking procedures.
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