About Artelia
Artelia is an international, multidisciplinary consulting, engineering, and project management group, providing services across key sectors including mobility, water, energy, buildings, and industry. The Group supports clients throughout the full life cycle of their projects, from consulting and design to project management and implementation, with a strong focus on sustainable, practical, and high-quality solutions.
Role Purpose
The Chief Accounting Officer will be responsible for overseeing and coordinating the full accounting, tax, administrative, banking, treasury, and reporting activities for the company’s entities in Egypt and Saudi Arabia. The role requires a hands-on, highly reliable, and deadline-driven finance professional capable of operating in an international environment and ensuring accurate, timely, and compliant financial operations in line with local regulations, group policies, and internal control requirements.
Key Responsibilities
Accounting and Bookkeeping
Manage day-to-day accounting operations for Egypt and Saudi Arabia entities, ensuring complete, accurate, and timely bookkeeping.
Record and review accounting entries, including general ledger, accounts payable, accounts receivable, accruals, provisions, reconciliations, and intercompany transactions.
Ensure proper documentation, filing, and audit trail for all financial transactions.
Maintain accounting records in accordance with local statutory requirements, applicable accounting standards, and group policies.
Payment Processing, Invoicing, and Collections
Prepare, review, and process supplier payments, employee reimbursements, and other disbursements in accordance with approval workflows and payment deadlines.
Coordinate customer invoicing, ensuring invoices are accurate, complete, and issued on time in line with project milestones and contractual requirements.
Monitor accounts receivable, follow up on overdue balances, and support cash collection efforts in coordination with project and operational teams.
Perform regular bank, customer, supplier, and intercompany reconciliations.
Tax Compliance and Statutory Requirements
Ensure timely preparation, review, and submission of all tax declarations and statutory filings in Egypt and Saudi Arabia, including VAT, withholding tax, corporate tax, social insurance, and other applicable obligations.
Manage and coordinate the relationship with external auditors, tax advisors, and local authorities, ensuring timely provision of information, smooth audit execution, and effective resolution of audit queries.
Monitor changes in tax and regulatory requirements and assess their impact on the company’s operations.
Support statutory audits, tax inspections, and compliance reviews by preparing required schedules, reconciliations, and supporting documentation.
Reporting and Financial Control
Prepare monthly, quarterly, and annual financial reporting packages for the Regional
Finance Director and group finance teams.
Ensure reporting is accurate, complete, and submitted within frequent and stringent deadlines.
Analyze accounting data, identify variances or unusual movements, and provide clear explanations to support management review.
Contribute to budgeting, forecasting, cash flow planning, and financial performance monitoring when required.
Support the implementation and maintenance of strong internal controls, accounting procedures, and finance processes.
Banking, Cash, and Treasury Management
Manage day-to-day banking relationships and coordinate banking operations for
Egypt and Saudi Arabia entities.
Monitor cash positions, prepare short-term cash flow forecasts, and support treasury planning.
Ensure timely execution of payments, transfers, bank documentation, guarantees, and other treasury-related matters.
Maintain effective controls over bank accounts, signatories, access rights, and cash management processes.
Administrative Operations
Coordinate administrative processes linked to the legal entities, including medical insurance, social insurance, office management, telecom services, logistics, supplier administration, and local registrations where applicable.
Ensure administrative procedures are properly documented, compliant, and aligned with company standards.
Liaise with local service providers, consultants, banks, authorities, and internal departments to ensure smooth operational support.
Support contract administration, document collection, archiving, and compliance documentation as required.
Cross-Functional Coordination
Work closely with project managers, operations teams, HR, legal, procurement, and group finance to ensure financial and administrative matters are handled efficiently.
Act as a key local finance contact for Egypt and Saudi Arabia entities while maintaining regular communication with the Regional Finance Director.
Contribute to process improvements, standardization, and automation initiatives to enhance reliability, control, and efficiency.
Required Profile
Bachelor’s degree in Accounting, Finance, Business Administration, or a related field; a professional qualification such as CPA, ACCA, CMA, or equivalent would be an advantage.
10 to 15 years of progressive accounting and finance experience, ideally including exposure to multinational or international companies.
Strong knowledge of accounting principles, statutory reporting requirements, tax compliance, and local administrative practices in Egypt and/or Saudi Arabia.
Experience in engineering consultancy, project-based businesses, construction, infrastructure, or professional services would be highly valued.
Proven ability to manage multiple priorities, work under pressure, and meet frequent, strict, and non-negotiable deadlines.
Strong command of English and Arabic, both written and spoken; French would be an additional advantage depending on group requirements.
Advanced proficiency in Microsoft Excel and experience with ERP/accounting systems.
High level of integrity, confidentiality, accuracy, ownership, and attention to detail.
Key Competencies
Hands-on accounting expertise and strong operational discipline.
Excellent organizational and time-management skills.
Ability to work independently without direct reports while coordinating effectively with multiple stakeholders.
Strong analytical mindset and problem-solving capability.
Clear communication skills with the ability to explain financial matters to non finance stakeholders.
Resilience and reliability in a fast-paced, deadline-driven environment.
Strong service orientation and ability to support both finance and administrative needs of local entities.
Role Success Factors
Reliable and timely monthly closing and reporting for Egypt and Saudi Arabia entities.
Full compliance with tax, statutory, banking, and administrative obligations.
Accurate bookkeeping and strong documentation standards.
Effective cash, payment, invoicing, and collection follow-up.
Smooth coordination with local stakeholders, external advisors, auditors, and group finance teams.
Continuous improvement of finance and administrative processes.
Job details are sourced from the employer's original posting.
Open job postingAbout the company
At Artelia Canada, we believe that every project is a unique opportunity to design solutions for a positive life. This is what drives us every day: imagining, creating, and delivering projects that make a real difference in people’s lives and contribute to a better future. With over 50 years of experience and a presence across Canada, our team of 1,200 experts works passionately in diverse fields such as mobility, building, energy, environment and earth sciences, water, industry, and telecommunications. We combine our local expertise with the international strength of the Artelia Group, bringing together over 100 years of history and more than 10,000 employees in 40 countries to deliver sustainable and innovative solutions. With 100% ownership by its managers and employees, Artelia values autonomy, creativity, and collaboration. Joining Artelia means choosing a stimulating environment where everyone plays a part in shaping a more sustainable and human-centered world!