Preparation of Quarterly and annual Consolidated Financial Statements and Management Discussion & Analysis (MD&A) of VE Inc. and Subsidiaries (the Group)
Prepare reconciliation of management accounts and supporting documents to the group financial statements
Prepare the quarterly consolidated financial statements and notes to financial statements in accordance with IFRS.
Prepare supporting information for MD&A and draft the narrative for the MD&A.
Coordinate with subsidiaries and relevant departments to gather information for the preparation of consolidated financial statements and MD&A.
Keep updating on IFRS to be able to identify any potential impact of new or revised accounting standards and their impacts the Groups financial statements.
Quarterly Review of Consolidation Workbook Consolidated Financial Statements of the Group and MD&A
Prepare reconciliation to support the consolidation workbook and consolidated financial statements of the Group-to-Group Financial Controller and CFO for management analysis.
Help Senior Accountant and Assistant Financial Controller to provide analytical review of the quarterly numbers or prepare required information and supporting documents regarding the consolidation number of the Group.
Accounting of Jasmine Venture Ltd. (JVL) / VE Varuna Ltd. (Varuna) and Bookkeeping
Record the general ledger accounting of JVL and Varuna.
Monthly perform accounting closing of JVL and Varuna.
Record the elimination entry of the intercompany transactions of JVL and Varuna for the preparation of the consolidation of the Group.
Prepare the standalone audited financial statements of JVL and Varuna for submission to relevant authorities in Mauritius.
Financial Audits of VE Inc. and subsidiaries (the Group)
Provide information as requested to internal/external auditors for the Group audit and local statutory audit.
Ensure the conformity of data so that it meets the requirements of internal/external auditors to ensure that any queries are answered in a prompt and efficient manner and provide adequate supporting documents as requested.
Support corporate team to provide information/respond to comments or questions raised by ASC (if any)
Liaise and provide internal/external auditors with relevant financial information and finalize financial statements to facilitate timely submission and completion of internal/external audits.
Be able to identify the appropriate information to provide to external parties also be able to identify risk of misstatement from the result of the audits (if any).
Others
Prepare ad hoc report for the team.
Perform other duties assigned by Senior Account, Assistant to Financial Controller and Group Financial Controller.
Coaching and providing advice to staff in Finance Team
:: QUALIFICATIONS :::
Knowledge & Qualifications:
Bachelor's degree in accounting and / or finance with a knowledge of accounting standards, procedures, protocols and guidelines.
Consolidation accounting knowledge as per IFRS is required
Knowledge of upstream oil and gas industry.
Experience:
3-5 years of relevant experience in the accounting field (General Ledger) and consolidation preferably in the Oil and Gas industry
Skills:
Strong attention to details
Analytical skills
Excellent Communications skills in English & Thai.
Managing and organizing skills
Teamwork
MS Office especially MS Excel and application accounting software.
DISCLAIMER:
By applying for this position with our Company, you expressly consent to the collection, use and sharing of your personal information for recruitment and employment purposes in accordance with the Company's Data Privacy Policy and the country specific Personal Data Protection Act.