Greenville LNG

Station Accountant

Posted: Oct 27, 2025

Job Description

Prepare Daily Outward Report based on Dispenser and location Maintain Cash Collection, POS, Transfer Register, credit outstanding Daily Reconciliation of Station Sale with the Total Collections. Ensure Banking of the Cash Collection on daily basis Maintain Expenses Statement for the Station Maintain Impress Cash Statement and send to Corporate Office Fixed Asset Register at the Station and Ensuring Safeguarding of the Assets. Develop Budget for the Station Inventory check opening and closing with physical and SCADA and SAP Checking SAP entries and posting Any other job assigned from time to time by the Station and Corporate office. Download of Daily Bank Statement Follow up with Banks for Statement in case of Offline banking Preparation of Daily Bank Report Uploading Bank Statement in SAP Ensuring Daily Bank Payment and Receipt entries are posted in SAP Daily Bank reconciliation at COB Liaising with Banks for any Banking work related Account Opening, Online Banking and other Banking follow-ups Cash expenses management and entries and control Any other duty that may be assigned from time to timeQualifications Candidate must have a minimum of B.sc or HND in Accounting Candidate with Oil and Gas Experience will be preferred. Candidate must have a working knowledge of SAP or other ERP software Microsoft excel skill is a mandatory skill Good communication and reporting skillsMust have skillsDaily Bank reconciliationSAP FICO

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