Position Overview
Key Responsibilities Finance & Accounting - Maintain full sets of accounts for group entities across multiple jurisdictions.
- Prepare monthly management reports, financial schedules, and supporting documentation.
- Perform bank reconciliations, balance sheet reconciliations, and month-end closing activities.
- Handle GST/VAT filings and liaise with external tax agents and auditors where required.
Operational Finance - Process payments, ensuring proper documentation, approvals, and compliance with internal control procedures.
- Maintain vendor and banking records, monitor outstanding payables, and ensure timely settlement.
- Implement and follow established control procedures for disbursements and reimbursements.
- Monitor cash balances and support cash flow tracking to ensure sufficient funds for operational needs.
- Handle intercompany transactions and perform reconciliations ac...