Accountant

Atc Bedings

Gujrat

On-site

PKR 1,200,000 - 1,800,000

Full time

14 days+

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Job summary

Atc Bedding is seeking an experienced Accountant to join its finance team in the banking sector. The role requires leading a five-person team, managing accounts payable/receivable, and overseeing general ledger activities while ensuring regulatory compliance.

The ideal candidate will prepare financial reports, assist budgeting/forecasting, and support month-end and year-end closings with SAP FI expertise and tax filing software proficiency.

Qualifications

  • Five+ years of accounting experience in the banking industry.
  • Lead a team of five accounting professionals and ensure accuracy and compliance.
  • Oversee AP/AR and general ledger activities and month-end/year-end closing.
  • Proficient in SAP FI and SAP ERP; familiarity with tax filing software.

Responsibilities

  • Lead and supervise a team of five accounting professionals.
  • Prepare and analyze accurate financial reports.
  • Oversee accounts payable and accounts receivable processes.
  • Administer general ledger activities and ensure policy compliance.
  • Coordinate budgeting and forecasting activities.
  • Ensure tax compliance and file tax returns.
  • Reconcile accounts and handle month-end/year-end closings.
  • Utilize SAP FI and SAP ERP to optimize finance operations.
  • Implement and maintain accounting controls and procedures.
  • Collaborate with auditors and regulators during audits.

Skills

Accounts Payable
Accounts Receivable
General Ledger
SAP FI
SAP ERP
Tax Compliance
Tax Filing
Budgeting
Forecasting
Financial Reporting
Month-end Closing
Year-end Closing
Audit Coordination

Tools

SAP ERP
Tax Filing Software
Financial ERP Systems

Job description

Description:

At Atc Bedding, we are seeking a dedicated Accountant with at least five years of experience in the banking industry to join our finance team. The ideal candidate will oversee a team of five professionals and manage various accounting functions to ensure accurate financial records and compliance with regulatory standards. This role involves preparing financial reports, handling accounts payable and receivable, managing general ledger activities, and supporting budgeting and forecasting efforts to assist in corporate financial planning. The successful candidate uses their expertise to ensure tax compliance and handle tax preparation processes using specialized software. They will work closely with cross-functional teams to reconcile accounts and assist in month-end and year-end closing processes. Proficiency in SAP Financial Accounting (FI) module and other accounting systems is critical, as is a deep understanding of financial reporting and tax regulations in the banking sector. This position requires strong attention to detail, leadership skills, and the ability to maintain accurate and timely financial documentation.

Responsibilities:
  • Lead and supervise a team of five accounting professionals, providing guidance and support to achieve department goals.
  • Manage the preparation and analysis of accurate financial reports to assist in decision making and reflect the company's financial status.
  • Oversee accounts payable and accounts receivable processes to maintain efficient cash flow management.
  • Administer general ledger activities, including recording transactions and ensuring accuracy and compliance with policies.
  • Coordinate budgeting and forecasting activities to support strategic financial planning and resource allocation.
  • Ensure compliance with tax laws and regulations by preparing and reviewing tax returns and related documentation using tax filing software.
  • Conduct reconciliation of accounts regularly to identify discrepancies and implement corrective actions promptly.
  • Manage month-end and year-end closing processes, ensuring timely and accurate reporting of financial data.
  • Utilize SAP Financial Accounting (FI) module and SAP ERP systems to optimize financial management operations.
  • Implement and maintain accounting controls and procedures to safeguard company assets and financial integrity.
  • Stay updated with changes in tax regulatory requirements and banking industry standards to maintain compliance.
  • Collaborate with external auditors and regulatory bodies during financial audits and reporting.
  • Develop and improve accounting systems and processes to enhance department efficiency and accuracy.
Experience:

5 Years

Apply By:

Sep 1, 2026

Required Skills:
  • Accounts Payable and Receivable
  • Accounting controls
  • Banking Industry Knowledge
  • Reconciliation and Closing Processes
  • Tax Filing Software
  • Tax Accounting
  • Tax Regulatory Compliance
  • Tax Preparation Software
  • SAP ERP
  • General Ledger Accounting
  • SAP Financial Accounting (FI) Module
  • Tax Compliance
  • Budgeting and Forecasting
  • General Ledger Management
  • Financial Reporting
Nice to Have Skills:
  • Leadership
  • Audit coordination
  • Process Improvement
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