Staff Accountant

Dcc Consultants

Lahore

On-site

PKR 1,401,618 - 1,557,354

Full time

14 days+

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Benefits offered by this job

Annual Bonus
Eid Bonuses
Provident Fund
Health Insurance (IPD, OPD)
Fuel Card or Company Pick & Drop
EOBI
Free Meal

Job summary

Dcc Consultants is looking for an experienced accountant in Lahore, Pakistan, to handle month-end closing procedures, balance sheet reconciliations, and maintain financial accuracy. Candidates should have at least 4 years of combined accounting and finance experience, including general ledger handling. A CA Finalist or ACCA qualified status is mandatory. Benefits include health insurance, annual bonuses, and a night shift schedule from 6 PM to 3 AM. Join a team dedicated to supporting healthcare companies in the U.S.

Qualifications

  • 4 years of combined accounting and finance experience required.
  • 1-2 years of General Ledger accounting experience with inter-company transactions.

Responsibilities

  • Perform month-end accounting closing procedures.
  • Prepare general ledger entries in Oracle NetSuite.
  • Balance sheet reconciliations and income statement analytics.
  • Reconcile inter-company accounts with necessary follow-ups.
  • Maintain work-paper supporting documentation.

Skills

Analytical skills
Understanding of accounting principles
MS Office proficiency
Accounting software familiarity

Education

CA Finalist (ICAP) or ACCA Qualified
Bachelor's or Master's in accounting and finance

Job description

DHA Phase 6, Lahore, Pakistan | Posted on 04/15/2026

DCC Consultants provides offshore corporate services to its partner healthcare organizations in the United States. We provide these services in marketing, communications, accounting, financial planning, revenue cycle management, information technology, and clinical support.

Job Description
  • Perform accounting month-end closing procedures
  • Prepare and post reclassification, prepaid, accruals and other general ledger entries in Oracle NetSuite to ensure financial statement accuracy
  • Balance sheet account reconciliations and income statement analytic procedures
  • Tracking and review of CAM and Tax reconciliations
  • Reconcile monthly inter-company accounts with subsidiaries and perform necessary follow-up to clear reconciling items
  • Prepare journal entries and maintain proper work-paper supporting documentation
  • Collaborate with team members to drive the completion of the monthly accounting close timely and efficiently
  • Accounts receivable cash postings and reconciliations
  • Lease accounting and ASC 842 lease accounting adoption
  • Fixed asset accounting
  • Establish, document, implement, maintain, and adhere to accounting policies and procedures
  • Other projects and Ad Hoc reporting duties, as assigned
Requirements

Work Experience:

  • 04 years of overall combined accounting and finance experience
  • 1-2 years of General Ledger accounting experience, with inter-company transactions.
Skills:
  • Good with numbers and figures and an analytical acumen
  • Good understanding of accounting and financial reporting principles and practices
  • Excellent knowledge of MS Office and familiarity with relevant computer accounting software
Education:
  • CA Finalist (ICAP) or ACCA Qualified is a mandatory requirement.
  • Bachelors or Masters degree in accounting and finance is preferred.
  • Workdays: Monday – Friday
  • Work hours: 6pm – 3 am PKT (Night shift)
  • Gross salary (USD): $450 - $500
  • Benefits: Annual Bonus, Eid Bonuses, Provident Fund, Health Insurance (IPD, OPD), Fuel Card or Company Pick & Drop, EOBI, Free Meal
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