Finance Analyst

Precision Drilling

Eastern Province

On-site

SAR 90,000 - 150,000

Full time

14 days+

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Job summary

Precision Drilling is seeking an experienced accounting professional in Saudi Arabia to support month-end close and financial reporting. You will process journal entries, reconcile inter-company accounts, and assist in the closing process while ensuring SAP-based workflows and VAT compliance are followed.

The role requires a Bachelor’s Degree in Accounting, 3+ years of accounting experience, and strong English communication skills. Oil & gas exposure and audit-support duties are a plus.

Qualifications

  • Bachelor's Degree in Accounting in Saudi Arabia required.
  • Minimum of 3 years of experience in accounting preferred.
  • Strong verbal and written communication skills in English.
  • Proven income statement analysis skills to support monthly close.
  • Prior oil and gas experience preferred.
  • Experience with SAP preferred.
  • Experience with Saudi e-Invoicing requirements (ZATCA) and VAT regulations.

Responsibilities

  • Process month-end journal entries.
  • Assist with the month end closing process.
  • Reconcile Inter-Company accounts at month-end and mid-month.
  • Process accounts payable invoices.
  • Assist in setting up wire transfers.
  • Reconcile general ledger accounts on a monthly basis.
  • Prepares bank reconciliations weekly and uploads checks daily.
  • Processes journal entries to clear reconciling items.
  • Prepares the monthly cash forecast.
  • Assists with the month-end binder and Excel spreadsheet.
  • Performs such other duties as the supervisor may deem necessary.
  • Ensures all journal entries are checked in and filed for all companies.
  • Works with the auditors in providing supporting documents.

Skills

English
Income statement analysis
Oil & gas experience
VAT regulations knowledge

Education

Bachelor's Degree in Accounting

Tools

SAP

Job description

Responsibilities
  • Process month-end journal entries
  • Assist with the month end closing process
  • Reconcile Inter-Company accounts at month-end and mid-month
  • Process accounts payable invoices
  • Assist in setting up wire transfers
  • Reconcile general ledger accounts on a monthly basis
  • Prepares bank reconciliations weekly and uploads checks daily
  • Processes journal entries to clear reconciling items
  • Prepares the monthly cash forecast
  • Assists with the month-end binder and Excel spreadsheet
  • Performs such other duties as the supervisor may deem necessary
  • Ensures all journal entries are checked in and filed for all companies
  • Works with the auditors in providing supporting documents
Qualifications
  • Bachelor's Degree in Accounting in Saudi Arabia required
  • Minimum of 3 years of experience in accounting preferred
  • Strong verbal and written communication skills in English
  • Proven income statement analysis skills to support monthly close
  • Prior oil and gas experience preferred
  • Experience with SAP preferred
  • Experience with Saudi e-Invoicing requirements (ZATCA) and VAT regulations
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