FSS (Financial Shared Services) Accountant - North East Africa “NOKIA SOLUTIONS AND NETTORKS”
\[Nov 12 - Present\]
General Purpose: is Processing, monitoring and reporting accounting transactions in accordance with process design, concept and service levels defined in the FSS Service Description.
Proactively performing preventive quality controls and taking corrective actions when errors occur.
Additionally, responsible for supporting financial and external accounting in the defined responsibility area.
Prepare B/S reconciliations monthly for R2R accounts by the given deadline. Update the Deviation report per each company code monthly and save it to Sharenet. Follow and solve deviations. Issue resolution based on Balance Sheet deviation report including proposals for actions.
Accounting closing, BS validation, reconciliation and attestation and other accounting quality assurance processes.
Follows NSN Global F&C reporting guidelines and uses appropriate systems to meet financial reporting requirements.
Complies with NSN Global F&C accounting principles, procedures (including SOX and Internal Controls) and IFRS/local GAAP accounting principles for the defined responsibility area.
Provides accurate and timely technical accounting support (IFRS/local GAAP accounting principles and, in some cases, in fiscal matters)
Ensures that the right process exists in own responsibility area and that process is compliant with NSN global policies and processes.
Ensures availability of processes knowledge and technical competence in own responsibility area.
Responsible for NSN Egypt AP Processes & related reconciliations.
Balance sheet reconciliations for NSN Egypt and related deviation reports.
Responcible for AP Cycle & processes for NSN Lybia & NSN Sudan.
Supports, cooperates and contributes to the Internal and External audit process.
Responsible for Balance Sheet Reconciliations, Travel Ledger Recinciliations, Payroll reconciliations and related deviation reports for NSN Lybia, NSN Sudan & NSN Ethiopia.
Supports for accurate and timely NSN group reporting.
Work on monthly, quarterly & annually closing & reporting on SAP.
Period end closing related activities and accruals.
Monthly & Quarterly Withholding Tax report and related clearing & reconciliations.
Provides support for statutory accounting external reporting and related audit and governance: execution, control and results
Preparing WHT reports in order to summit them to the TAX AUTHORITY.
Invoicing Process using Nokia AP-PORTAL tool, follow up with the global team the posting, proceeding the payments using Bank-Link, Other NSN tools or Manual payments & Clearing the vendors accounts.
Customs Duty & VAT manual posting.
Clearing of the Sales Tax, Salary Tax, Custom clearance, Social Insurance, WHT checks & related coding problems.
Provides support and coordination of global process implementation and tool deployments in own responsibility area.
- مجال الشركة:
- الاتصالات والشبكات
- الدور الوظيفي:
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المحاسبة والتدقيق