Oversee the month-end closing process and validate management accounts across multiple business entities, ensuring accuracy and timely submission.
Generate financial performance reviews, identify key trends and variances, and provide insights to support management planning and operational decisions.
Compile group-level financial reports, including consolidation of accounts and preparation of statutory reporting packages.
Coordinate with external service providers, auditors, financial institutions, and tax consultants on compliance, reporting, funding, and regulatory matters.
Support cash management, annual forecasting exercises, indirect tax submissions, ERP administration, and other finance-related projects as assigned.
Requirements
Degree in Accountancy, Finance, ACCA, or a related discipline.
At least 3 years of experience in finance, accounting, external audit, or a combination of these...