Accounting for Joint Venture billings, development of opex/capex accruals, financial analysis, reconciliation and reporting related to Joint Venture assets
Ensure correct accounting of Joint Venture billings
Monthly close process, reporting and reconciliations for area of responsibility
Develop and maintain internal processes within Joint Venture accounting
Provide support and analysis to management to meet company strategies and objectives
Accounting related to joint interest billings (including processing of Cash calls)
Monitor and analyse cost – Input of monthly accruals
Monthly close process, reporting and reconciliations for area of responsibility
Collaborate with planning and provide support to corporate reporting