Jobs Companies Salla Branch Accountant

Sobre esta vaga de Branch Accountant na Salla

Salla · Presencial · Mecca, Saudi Arabia

Salla is one of the fastest-growing e-commerce platforms in the MENA region, delivering innovative technology solutions that empower businesses to scale rapidly. As we continue to expand, we are looking for a Branch Accountant to join Salla’s Controllership Department, reporting directly to the Accounting Manager. This role is responsible for managing all financial operations of one of Salla’s branches, ensuring accurate accounting, timely reporting, and full compliance with controllership standards and procedures.

Responsibilities:

  • Manage the branch’s end-to-end financial operations including accounting entries reconciliations and reporting.
  • Prepare organize and maintain accurate financial reports and records for all branch activities.
  • Issue invoices to partners clients and suppliers in line with company policies.
  • Follow up on collections from partners maintaining regular communication organizing schedules and ensuring timely receipts.
  • Process and manage payments disbursements and payroll related to branch operations.
  • Coordinate closely with the General Manager for financial requests approvals and budget needs.
  • Maintain and regularly update the trial balance ledgers and account reconciliations to ensure accuracy.
  • Ensure proper documentation and filing of all financial and supporting documents.
  • Prepare and maintain tax schedules and compliance data required for the branch.
  • Support month-end and year-end closing in coordination with the Controllership team.
  • Continuously improve processes and documentation to enhance accuracy organization and efficiency.

Requirements

  • Bachelor’s degree in Accounting, Finance, or a related field.
  • 3–5 years of professional experience in accounting, financial operations, or branch-level finance roles.
  • Demonstrated experience in bookkeeping, account reconciliations, and preparing financial reports.
  • Experience preparing cross-border financial reports.
  • Familiarity with multi-entity accounting structures.
  • Working knowledge of tax reporting and regulatory compliance.
  • Proficiency in Microsoft Excel for financial analysis and reporting.
  • Ability to coordinate with cross-functional departments to resolve financial or reporting issues.
  • Hands-on experience using accounting or ERP systems (e.g., SAP, Oracle NetSuite, or similar) for financial transactions, reporting, or reconciliations.
  • Good working proficiency in English (written and verbal).
  • Working knowledge of financial controls, internal control frameworks, and compliance procedures related to accounting and financial reporting is a plus.

Benefits

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