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Play a key role in supporting the Company's upstream oil and gas operations by managing financial reporting, accounting, budgeting, cash flow management, tax compliance, and statutory reporting. Partner with management, operational teams, partners, and HQ to deliver accurate financial insights, ensure regulatory compliance, and support strategic business decisions.
This role offers the opportunity to contribute directly to the company's financial performance, governance, and long-term growth.
Job Responsibilities:
Job ID: 151454451
Skills:
CPA certification, Internal Controls, Audit processes, Accounting, Budgeting
Skills:
Financial Policies and Procedures, Financial Forecasting, Financial Analysis, Compliance and Audit, Investment Analysis, Budgeting, Cash Flow Management, Team Leadership, Financial Reporting, Strategic Planning, Risk Management
Skills:
Financial Policies and Procedures, Financial Forecasting, Financial Analysis, Compliance and Audit, Budgeting, Investment Analysis, Cash Flow Management, Team Leadership, Financial Reporting, Strategic Planning, Risk Management
Skills:
Power Bi, Microsoft Excel, Financial Systems, Audit Coordination, budgeting, Reporting
Skills:
Financial Policies and Procedures, Financial Forecasting, Financial Analysis, Compliance and Audit, Investment Analysis, Budgeting, Cash Flow Management, Team Leadership, Financial Reporting, Strategic Planning, Risk Management