Position Overview
Role Overview Responsible for broker compensation accounting, financial close, and reporting. Delivers accurate compensation calculations, strong financial controls, and timely management/statutory reports.
Responsibilities - Deliver timely and accurate monthly, quarterly, and year‑end close in accordance with group deadlines.
- Prepare and post journal entries (accruals, prepayments, intercompany, payroll‑related entries).
- Produce balance sheet reconciliations and resolve discrepancies.
- Perform P&L and balance sheet variance analysis, including front‑office cost analysis.
- Prepare management reporting and financial insights for key stakeholders.
- Support audit processes, tax reporting, and financial compliance requirements.
- Ensure adherence to IFRS, group accounting policies, and internal control frameworks.
- Calculate and manage performance‑based broker compensation (accruals and actual payouts).