Accountant at Engen Limited
Cape Town, Western Cape, South Africa -
Full Time


Start Date

Immediate

Expiry Date

02 Oct, 26

Salary

0.0

Posted On

04 Jul, 26

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Financial Accounting, Customer Invoicing, Trade Position Management, ETRM Systems, SAP, Weighted Average Costing, Treasury Support, Cost Control, Budget Variance Reporting, Debtors and Creditors Reconciliation, Compliance, Audit Process

Industry

Oil and Gas

Description
Location: Cape Town Purpose of the Job To manage international and local Supply & Wholesale commercial data, customer invoicing and trade positions for sales and purchases to ensure efficient business operations by ensuring all products, secondary income and costs are accounted for and providing management accounting information to meet the objectives of enhancing Engen's profitability. What you'll have done before: Baseline: NQF Level 7 (Degree in Commercial/ Finance or Accounting)  5 years experience in Accounting or Finance environment   Experience and knowledge of ETRM system   Advantageous: Experience and knowledge of SAP system    What you'll have done before: FINANCIAL ACCOUNTING Recording and settling of international and Local trades (Imports, Exports, Affiliates, Marine and third party, local buy/sell)   Capturing of vendor invoices and scheduling of payments for Trading deals in line with relevant transfer documents and pricing terms  Accurate accounting of applicable duties (import duty differential, customs & excise levies, duty at source)  Timeous customer billings  Debit/credit notes are prepared and sent to customers timeously  Accurate weighted average costing per transaction and accurate cost transfer to Marketers division  ACCOUNTING RECORDS Prepare monthly debtors and creditors reconciliations  Ensure credit management if / where applicable  Monthly clearing of customer and vendor accounts, and GR/IR accounts  Ensure reconciling items follow-up and clearing  Ensure compliance with the audit process by ensuring all transactions are supported with relevant documentation  TRADING DEALS Provide necessary support to international trading deals by ensuring that the deals are captured accurately & timeously in the system for accurate weighted average costing in the system and accurate cost transfer to marketers division. TREASURY SUPPORT Ensure that all deals are appropriately hedged and included in the daily exposure reports submitted to Treasury. COST CONTROL Ensure proper finance management and cost control through effective & efficient management & deployment, track monthly departmental spend, manage cost control processes and report on budget variances. REPORTING Ensure accurate and relevant reports are prepared and submitted as per the agreed format and timelines as well prepare the ad hoc reports as and when required. COMPLIANCE Adhere to all relevant policies, procedures, and SLA's to ensure alignment with applicable governance and controls
Responsibilities
Manage international and local supply and wholesale commercial data, including customer invoicing and trade positions. Ensure accurate accounting of costs, duties, and weighted average costing to enhance company profitability.
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