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Senior Accountant

NAYLA نايلة
Riyadh, KSA
Fulltime
Mid-Senior
2 months ago
ExcelACCAVATSEM
Free

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Overview

  • Responsible for accurate recording of financial transactions, maintaining the Trial balance, and ensuring accurate and timely month-end closing.
  • Ensures compliance with ZATCA’s and SAMA’s filing and reporting requirements.
  • Leads financial reporting and works closely with Finance, banks, investors and auditors to maintain a controlled and reliable finance operation.
  • Validate and reconcile daily financial transactions (e.g. loan disbursements, repayments, bank reconciliations, expense entries).
  • Maintain the general ledger and ensure timely month-end closings.
  • Monitor and track receivables, payables, and operational expenses.
  • Prepare statutory financial statements, schedules, and documentation for internal and regulatory purposes.
  • Prepare monthly management account and other reports
  • Prepare investors’ reporting
  • Assist Head of Finance in budget preparation
  • Manage prepayment, fixed assets and depreciation schedules.

• Prepare SAMA Prudential Returns

  • Prepare VAT and CIT filings.
  • Liaise with banks, external auditors, tax consultants, and regulatory authorities as needed.

Requirements

  • :
  • Bachelor’s degree in accounting and finance / ACCA / ACA.
  • 6–7 years of relevant accounting experience in financial services or fintech.
  • Proficient in Microsoft Dynamics Business Central.
  • Strong Excel and communication skills.
  • Knowledge of Saudi accounting and tax regulations.
  • Excellent attention to detail, organizational skills, and accountability.
  • Fluency in English & Arabic.

What Success Looks Like

  • Accurate and fully reconciled financial records with a clean trial balance at all times
  • Timely and smooth month-end closing without delays or errors
  • Full compliance with ZATCA and SAMA requirements with zero penalties
  • Clear control over transactions, receivables, payables, and expenses
  • Reliable and timely financial, management, and investor reporting
  • Well-maintained general ledger, schedules, and audit-ready documentation
  • Strong coordination with banks, auditors, and stakeholders
  • High ownership, attention to detail, and consistent support to Head of Finance

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