Responsible for full set of accounts, including preparation of management accounts
Ensure the timely closing of accounts and preparation of consolidation schedules
Work with stakeholders in other finance functions and Finance Shared Services Centre to prepare financial reporting, tax reporting, statutory reporting and ad-hoc reporting for assigned entities
Work closely with Finance Business Partners/team members to monitor and manage cash flow, including intercompany loans and working capital requirements
Support operations by liaising closely with line of businesses
Support the internal and external audit processes. Ensure smooth completion of year end audit
Preparation of tax computations and address tax queries
Review of bank & intercompany reconciliations and GST filing
Preparation of statutory financial statements & XBRL filing