
Assistant Accountant - Tax and Accounts Payable (Contador de Impuestos y Cuentas por Pagar)
Parkland•Dominican Republic•Full-time
DOP 55k – DOP 85k/moAI estimatePosted 1 week ago
M&A AdvisoryTransfer Pricing
Apply on company siteRole description
From the employer| Job Title: | Assistant Accountant - Contador de Cuentas Por Pagar e Impuestos |
| --- | --- |
| Employer: | SOL Republica Dominicana |
| Location: | Santo Domingo, Dominican Republic |
| Available to: | Yes | Current Sol staff | Yes | External Applicants |
| Reports to: | Accountant -DR |
| Subordinates: | none |
| Purpose: | The accounting and tax compliance accountant performs and support finance department in the monthly tax cycle and reviews annual compliance with external consultants. Execute accounts payable transactions to suppliers and users, process treasury transactions, Account payable module closures. |
| Principal
Accountabilities: |
Applicants must complete all the requested information to be considered. Certified copies of relevant certificates will be requested, as needed, for those applications under consideration. Only suitable applications will be acknowledged. | | | | | | |
Accountabilities: |
- Ensure the correct preparation, technical validation and timely presentation of monthly Tax (forms 606, 607, 609, IT-1, IR-17)
- Coordinating with external consultants and critically reviewing annual Tax IR-2 Income Tax and Transfer Pricing/ (DIOR) to guarantee consistency.
- Support the collection and submission of annual documentation requested by external auditors during the financial statement audit.
- Prepare monthly journal entries, accruals, and other adjustments.
- Reconcile assigned balance sheet accounts.
- Provides accounting assistance to other team members, as required.
- Review of invoice records in systems by third parties (RNC, NCF, retention) before final posting in AP module.
- Ensure approval of payable documents (contract agreements, purchase orders, etc.) are following the Authority Matrix and company policies.
- Process payments to suppliers
- Accounting Record of Payments: Manual application in the AP module of all payments executed to ensure the integrity of the Bank Reconciliation.
- Completed monthly reconciliation AP module.
- Manage the corporate payment cycle by manually generating and uploading files to banking platforms
- Treasury: Upload priority manual payments.
- Treasury: Availability Planning -Coordination with the Treasury Manager to ensure that cash flow covers scheduled bank charges.
- Perform any other accounting and/or administrative function as requested by the Supervisor.
- Bachelor’s degree in Accounting or Fnance required with minimum accounting experience of 3-5 years.
- Ability to speak clearly and persuasively, to listen and get clarification responding well to questions.
- "Rigorous attention to detail: Critical ability to detect material discrepancies in complex reconciliations and errors in third-party records."
- Ability to apply common sense to perform written, verbal or diagram instructions. Ability to solve problems involving specific variables in common situations.
- Results-oriented focus
- Strong interpersonal and interface management skills while dealing with cross-functional business teams.
- Internal and external customer service oriented a must. Ability to manage difficult or emotional situations; respond promptly either by email or phone.
- Broad knowledge of computer software, expert knowledge on management of Excel, Word, Knowledge of MS Dynamics Great Plains, SAP
- Strong team orientation balanced with the ability to work independently and under pressure with focus on project/duties completion within agreed deadlines required.
Applicants must complete all the requested information to be considered. Certified copies of relevant certificates will be requested, as needed, for those applications under consideration. Only suitable applications will be acknowledged. | | | | | | |
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