Shell Pakistan Jobs February 2024
Shell Pakistan Jobs February 2024
Position: Cash Management Lead
As the Cash Management Lead, you will be at the forefront of ensuring optimal cash management strategies for the organization. Your role involves in-depth cash forecasting, effective funds placement, and overall leadership in managing the team responsible for day-to-day cash operations, including Bank Reconciliations for Primary Bank Accounts. Your responsibilities will extend to connecting primary bank systems with SAP, ensuring seamless integration and accuracy in financial data.
Responsibilities include:
- Cashflow Forecasting:
- Conduct daily cash flow forecasting to anticipate and manage liquidity needs.
- Collaborate with relevant teams to gather necessary data for accurate projections.
- Cash Management:
- Develop and implement strategies for effective cash management.
- Optimize funds placement to maximize returns while maintaining liquidity requirements.
- Bank Reconciliation:
- Manage bank reconciliation process for primary bank accounts.
- Investigate and resolve discrepancies, ensuring accurate and up-to-date financial records.
- Oversee the manual bank reconciliation process for secondary bank accounts.
- SAP Integration:
- Work closely with IT and finance teams to connect primary bank systems with SAP for real-time data synchronization.
- Ensure accurate and timely financial reporting through the integration of systems.
- Leadership:
- Provide leadership to the Cash Management Support team.
- Set performance expectations, conduct regular reviews, and foster a collaborative and high-performance team environment.
- Reporting:
- Generate reports on cash positions, forecasting accuracy, and other relevant metrics.
- Communicate financial insights to senior management.
- Compliance:
- Ensure compliance with internal policies and external regulations related to cash management.
- Stay informed about industry best practices and recommend improvements.
- Collaboration:
- Collaborate with finance, treasury, and other relevant departments to optimize cash-related processes.
Location: Karachi Apply
Position: Cash Management Support
As the Cash Management Support, you will work closely with the Cash Management Lead to ensure the smooth execution of cash management activities. Your primary responsibilities will include preparing bank reconciliation for Secondary Bank accounts, acting as a backup for Primary Bank account reconciliations contributing to cash flow forecasting, and assisting in funds placement strategies.
Responsibilities include:
- Bank Reconciliation:
- Responsible for reconciliation processes for secondary bank accounts.
- Backup for reconciliation processes for primary bank accounts in absence of the Cash Management Lead.
- Investigate and resolve discrepancies, ensuring accurate and up-to-date financial records.
- Cashflow Forecasting Assistance:
- Contribute to the preparation of daily cash flow forecasts, utilizing automated tools and data integration.
- Assist in collecting and analyzing data to enhance the precision of forecasting models.
- Cash Management Support:
- Provide hands-on support in implementing cash management strategies devised by the Cash Management Lead, using automated tools.
- Assist in the automated placement of funds, following established guidelines.
- Reporting:
- Generate reports on cash positions, forecasting accuracy, and other relevant metrics.
- Communicate financial insights to senior management.
- Compliance:
- Ensure compliance with internal policies and external regulations related to cash management.
- Stay informed about industry best practices and recommend improvements.
- Collaboration:
- Collaborate with finance, treasury, and other relevant departments to optimize cash-related processes.
Location: Karachi Apply
Position: Local Statutory Reporting Analyst
LSR (Local Statutory reporting) Analyst is responsible for Statutory financial reporting, Managing internal and external audits and preparation of deliverables for Board meetings.
Responsibilities include:
- Preparation of Statutory Financial Statements (together with collection of Local Statutory Reporting deliverables and Supplementary information).
- Preparation of supporting analysis for Board packs and other review meetings.
- Leading the coordination with external auditor for timely completion of Half Yearly Review and Annual audit.
- Focal point for IFRS changes in scope & act as support for technical changes in system and interface to process experts.
- Ensure operational and design effectiveness of the controls within the areas of responsibility.
- Preparation of annual report for the Company.
- Preparing the Projected Financial Performance in coordination with various departments.
Location: Karachi Apply
Position: SAP Finance Systems Specialist
As the SAP Finance Systems Specialist and IT Business Partner for the Finance Team, you will play a crucial role in ensuring the continued efficiency and optimization of financial processes within the SAP environment. This position requires a strong understanding of finance operations and expertise in SAP to act as the primary focal point for system-related support and troubleshooting for the finance team.
Responsibilities include:
- System Support and Troubleshooting:
- Act as the core point of contact for the finance team, providing expert-level support for SAP-related inquiries and issues.
- Collaborate with the IT team to troubleshoot and resolve system-related challenges promptly.
- Investigate and resolve issues related to data integrity, system performance, and user access.
- Integration and Automation:
- Spearhead the integration of SAP with financial systems, ensuring real-time and accurate data flow.
- Identify opportunities for automation to streamline financial processes and enhance efficiency.
- Collaboration with Finance Team:
- Work closely with finance stakeholders to understand business requirements and translate them into SAP configurations.
- Provide guidance on best practices for utilizing SAP functionalities to meet finance objectives.
- Process Improvement:
- Continuously assess and improve finance-related processes within SAP, identifying areas for optimization and efficiency gains.
- Propose and implement enhancements to align SAP capabilities with evolving finance needs.
- Training and Knowledge Sharing:
- Conduct training sessions for finance team members on SAP functionalities and best practices.
- Facilitate knowledge sharing to empower users in leveraging SAP for their day-to-day activities.
- Project Management:
- Lead or contribute to SAP-related projects, ensuring successful implementation within specified timelines and budgets.
- Collaborate with cross-functional teams to deliver integrated solutions that meet finance requirements.
- Data Integrity and Security:
- Ensure the integrity and security of financial data within the SAP system.
- Implement and enforce data governance policies to maintain accuracy and compliance.
- Troubleshooting Finance Team Issues:
- Address and resolve finance team issues related to SAP usage promptly.
- Collaborate with end-users to understand concerns and provide effective solutions.
- Implement preventive measures to mitigate recurring issues and enhance user experience.
Location: Karachi Apply
Shell Pakistan Jobs February 2024
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