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للتقدم للوظيفة : رابط الوظيفة من هنا

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الوصف الوظيفي

Entity:

Finance


Job Family Group:

Finance Group


Job Description:

Role Responsibilities

  • Supporting the Finance Manager in the delivery a robust control environment and managing the month end close process.
  • Liaising with the Tax Team to ensure a proper, accurate and timely submission of tax returns.
  • Ensure compliance in areas of tax and other regulatory requirements.
  • Supporting the Finance Manager in managing the treasury function and adhering to group policies & guidelines.
  • Play a part & contribute to business process improvement and simplification initiatives.
  • Partner with non-finance functions & external stakeholders that may impact finance (e.g., sales, supply chain, distribution partner)
  • Lead in accounting for special projects and other ad-hoc business requests.

Key Accountabilities

Commercial Finance & Business Partnering

  • Partner with Sales, Marketing, and Supply Chain teams to drive financial performance and support commercial decision‑making.
  • Drive value creation through actionable financial insights supporting commercial and operational decision-making.
  • Analyze gross margin performance by product, segment, and customer.
  • Conduct margin sensitivity and scenario analysis to assess impact of cost changes on profitability.
  • Provide detailed COGS analysis including base oil price fluctuations, blending costs, and logistics expenses.
  • Monitor production/blending performance and cost variances vs standards.
  • Support Annual business planning and monthly Rolling Forecast (RF) with robust assumptions and analytics.

General Accounting

  • Ensure proper, accurate and timely recording of all accounting journal entries (e.g., sales, purchases, other cost/income and non-cash standard entries).
  • Preparing monthly reporting package and ensuring accurate upload of financial data on reporting module.
  • Support in the preparation and issuance of statutory financial statements in collaboration with external audit.
  • Ensure Balance Sheet Integrity “BSA” through monthly extensive deep dive reviews and GL reconciliations.
  • Prepare monthly balance sheet and profit & loss analysis (MI pack), including quarterly balance sheet review deck.
  • Support preparation of the Annual Plan and RF submissions.
  • Preparation of Due Diligence pack in addition to ensuring smooth closures of open topics.

Fixed Assets & Inventory

  • Record fixed asset acquisitions and dispositions.
  • Conduct periodic impairment reviews for intangible assets.
  • Prepare audit schedules relating to fixed assets and assist the external auditors in their inquiries.
  • Ensure the accuracy of inventory numbers by monitoring inventory levels, conducting regular audits and reconciliations, and correcting discrepancies.
  • Prepare inventory reports for management, including inventory valuation, variance analysis, and cost of goods sold.
  • Initiate the costing cycle, inventory revaluations and standard costing as per the company’s Product Costing and Transfer Pricing guidelines.

Accounts Payable & Intercompany

  • Processing of vendor invoices/advance payments and ensuring settlements as per contractual and credit terms applied.
  • Ensure the execution of a periodic payment cycle and respond to vendors’ queries and follow-ups.
  • Process employee travel and expense reports.
  • Recording IC invoices and ensuring Inter-company reconciliation are in place including resolving of mismatches & IC balance differences.

Accounts Receivable & Credit Control

  • Drive improvements in working capital including receivables, inventory, and payables.
  • Monitor cash flow drivers and recommend actions to improve liquidity.
  • Perform monthly aging analysis in addition to extensive monitoring of bad debt exposure and report any risk to management.
  • Coordinate with the Regional Credit Function to ensure compliance to the group credit policies.

Tax

  • Working with the tax consultants to ensure tax compliance and on-time tax filings.

Treasury

  • Prepare the monthly bank reconciliations.
  • Coordinate with BP Treasury for timely processing of cheques and wire transfers.
  • Manage relationships with financial service providers.

Internal Control

  • Ensure adequate internal controls are in place & operating as intended to manage any financial exposure.
  • Ensure compliance with Minimum Control Expectations (MCE)
  • Maintain Egypt’s Delegation of Authority while ensuring compliance.
  • Working with Supply Chain team to ensure completeness of cycle counts and annual physical counts.

Desirable criteria & qualifications

  • Recognized national or international professional financial management / accountancy qualification with extensive years post qualifications experience or appropriate business experience.

Essential experience and job requirements

  • Good interpersonal and communication skills
  • Ability to challenge and influence through persuasion.
  • Strong financial knowledge and ability to identify opportunities to simplify and streamline processes.
  • A good understanding of accounting principles and group reporting tools
  • Skillful in approaching problem solving.
  • Sound knowledge and experience of local tax and custom laws
  • Strong knowledge and experience of key ERP, MI and reporting systems
  • Other Requirements (e.g., Travel, Location)
  • Strong interpersonal, communication and team working skills.
  • Experience in working with a multi-cultural workforce.
  • Ability to work with relatively young and inexperienced staff.

Relocation available? No

Travel required? Yes - up to 10%


Travel Requirement

Up to 10% travel should be expected with this role


Relocation Assistance:

This role is not eligible for relocation


Remote Type:

This position is a hybrid of office/remote working


Skills:

Accounting policy, Accounting Processes and Financial Systems, Analytical Thinking, Analytics, Business process control, Business process improvement, Customer centric thinking, Data Analysis, Digital Automation, Digital Fluency, Financial Reporting, Internal control and compliance


Legal Disclaimer:

We are an equal opportunity employer. We do not discriminate on the basis of protected characteristics like race, religion, color, sex, national origin, sexual orientation, veteran status or disability status. Individuals with an accessibility need may request an adjustment/accommodation related to bp’s recruiting process (e.g., accessing the job application, completing required assessments, participating in telephone screenings or interviews, etc.). If you would like to request an adjustment/accommodation related to the recruitment process, please contact us.
If you are selected for a position and depending upon your role, your employment may be contingent upon adherence to local policy. This may include pre-placement drug screening, medical review of physical fitness for the role, and background checks.

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معلومات

القاهرة, القاهرة
1 ساعة مضى على النشر
3

المؤهلات

المؤهل العلمي
بكالوريوس
التخصص
محاسبة
درجة الخبرة
من 4-6 سنوات
نمط التواصل
ميداني

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