Support technical reports, well data, and GGR documents. Coordinate between foreign experts and local technical teams. Act as a bilingual liaison to translate technical reports, meeting discussions, and operational updates between foreign experts and local teams. Coordinate schedules, mobilization, and communication with third-party service providers (e.g., wireline, drilling). Assist GGR/Production Engineering departments with operational transition and updates.
Position Summary We are seeking a detail-oriented and trustworthy Junior Accountant to join our finance team. In this role, you will handle daily cash management and petty cash transactions while supporting core bookkeeping, reconciliations, and routine financial recordkeeping. Key Responsibilities Daily Cash Handling: Manage physical cash receipt and payments. Cash Balancing: Perform daily cash count reconciliations and match physical cash balances with registry and ledger records. Bank Deposits: Prepare cash/check deposits and make regular banking runs as required. Routine Assigned : Proceed according to Finance Manager. Reconciliations: Perform monthly bank reconciliations, vendor statement reviews, and petty cash account reconciliations. Documentation: Maintain orderly filing systems for physical invoices, payment vouchers, receipts, and deposit slips for audit readiness. Management Support: Assist the Finance Manager.