Job Opportunities API

The Public Ledger of Openings

← Back to the ledger

Accounting Manager

Meranti Green Steel
CompanyMeranti Green Steel
CategoryFinance
LocationMeranti Green Steel Oman
RemoteOn-site (inferred)
EmploymentNot stated
LevelManager
SalaryNot stated by the employer
Posted19 Jun 2026
Last verified3 Aug 2026
SourceEmployer ATS (greenhouse)
Applications are handled by the employer, not by us.Apply on the employer's site →
Description
Purpose/ Mission: The Accounting Manager will be responsible for establishing and leading the accounting and financial reporting function for the Company's operations in Oman. This role will play a key part in setting up accounting processes, internal controls, statutory compliance, and financial reporting systems during the project development, construction, and operational phases. In addition to local responsibilities, the position will work closely with the Regional Finance team in Singapore to support group reporting, consolidation, external audits, and corporate finance initiatives across the organization. The successful candidate must be hands-on, capable of building accounting processes from the ground up, and comfortable working in a dynamic multinational environment. Key Responsibilities: Accounting Operations & Financial Reporting Establish and manage the accounting function for the Oman entity from start-up phase through operational readiness. Develop accounting policies, procedures, and internal controls in accordance with Group requirements and applicable accounting standards. Ensure accurate and timely recording of financial transactions. Manage the general ledger, fixed assets, accounts payable, accounts receivable, and cash management activities. Oversee monthly, quarterly, and annual financial closing processes. Prepare accurate financial statements and management reports. Ensure compliance with IFRS and Group accounting policies. Project & Construction Accounting Support accounting activities during project development and construction phases. Monitor project expenditures, capital work-in-progress (CWIP), and capitalization processes. Coordinate with Project Controls and Procurement teams to ensure accurate financial recording of project costs. Track capital expenditures and ensure proper accounting treatment. Support financial reporting related to EPC contracts and project investments. Statutory Compliance & Taxation Ensure compliance with Oman statutory accounting requirements. Coordinate with external consultants, auditors, and regulatory authorities. Manage corporate tax, VAT, withholding tax, and other applicable regulatory filings. Ensure timely submission of statutory financial statements and regulatory reports. Monitor changes in accounting, tax, and regulatory requirements. Internal Controls & Governance Establish and maintain effective internal control systems. Ensure compliance with Group financial policies and corporate governance requirements. Implement financial controls to safeguard company assets. Support internal audit activities and management action plans. Drive continuous improvement initiatives within finance processes. Audit & Group Reporting Serve as the primary coordinator for external and internal audits. Support annual Group audit requirements and consolidation activities. Prepare audit schedules, reconciliations, and supporting documentation. Liaise with Group Finance and Regional Finance teams regarding audit matters. Ensure timely resolution of audit findings and recommendations. Regional Finance Support Work closely with the Regional Finance team based in Singapore. Support monthly, quarterly, and annual Group reporting requirements. Assist with financial consolidation and intercompany reconciliation processes. Support implementation of regional finance initiatives, systems, and process improvements. Participate in regional finance projects and special assignments as required. Treasury & Cash Flow Management Monitor cash flow requirements and liquidity planning. Coordinate banking relationships and treasury activities. Support funding requests, capital injections, and financial transactions. Ensure effective cash management and financial controls. Team Leadership Build and develop the local accounting team as th