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Responsibilities
Key Accountabilities
· Recognize cross-cultural and cross-organizational differences, and promote, develop and maintain understanding and collaboration
· Contribute to updating, developing and maintaining effective rules and guidelines relating to treasury operations
· Contribute to the preparation of departmental work plan & budget and the effective budget control as well as monthly, quarterly, and annual statistics of comparative cost analysis
· Ensure compliance on payment obligation of the goods and service contracts and ensure compliance to local regulations and procedures regarding to taxes
· Key working details include the followings:
1. Cash and liquidity planning - monitor/plan cash inflow (cash call) and cash outflow (payments), cash conversion
2. Payment procedure of goods and services (DZD and USD)
- Petty cash and Cash on hand
- Reimbursement, advance and clearing
- Bank transfer instruction / Cheque
- Internet banking
1. Domiciliation process for imported shipment and imported services
2. Algerian tax compliance and advisory to operations
3. Account Closing (ERP used: SAP ECC 6.0)
Support periodic report and cost analysis of the areas under responsibility for effective operation cost
4. Consultation and support on procurement related matters e.g. bank guarantee
Profile
Professional Knowledge & Experience
· Degree in Business or Accounting
· Experience in treasury work in oil and gas business - minimum of 10 Years
· Communication in English and French
Additional Desirable Qualifications
· Experience in SAP
· Experience in taxation