Why This Role Stands Out
This role offers a fantastic opportunity to contribute to a growing company in the industrial sector, where you'll develop your accounting and treasury skills by managing financial statements and cash flow. You'll thrive here if you have a strong accounting foundation, at least two years of experience, and are eager to make a significant impact within a reputable organization. Don't miss out on the chance to advance your career in this vital finance position!
Quick Overview
Job Description
[About Our Client]
The company is a supplier of steel pipes and tubes, specializing in products for the energy, construction, and industrial sectors. The company offers a range of welded and seamless steel pipes, including OCTG (Oil Country Tubular Goods), line pipes, and structural pipes, catering to oil and gas exploration, transportation, and infrastructure projects.
[Job Summary]
Our client is seeking talented professionals in accounting and treasury management to support our company’s continued growth and innovation. Through this recruitment, we aim to strengthen our financial stability and optimize cash flow management. We welcome highly skilled individuals who can contribute to structured accounting operations and strategic financial planning.
[Job Description]
- Record journal entries and process accounting transactions
- Prepare and analyze monthly and annual financial statements
- Assist with corporate tax and other tax filings
- Support internal audits and compliance procedures
- Manage expense reimbursements and budget tracking
- Manage corporate cash flow and bank accounts
[Qualifications]
- Bachelor’s degree in Finance, Accounting or Economics preferred
- At least 2+ years of relevant experience
- Proficiency in ERP systems such as Quick book is a plus
- Proficiency with Microsoft Office
[What's On Offer]
- PTO : 15 days (first year)
- Company Paid Health insurance, vision, and dental
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