Responsibilities:
- Oversee multiple entities in the preparation and review of general ledger accounts, ensuring accuracy and compliance with IFRS and Group policies.
- Preparation of month-end journals, reconciliations and reports, ensuring timely and accurate financial reporting.
- Liaise with other group entities around the world on intercompany reconciliations and recharges, investigate & resolve differences.
- Complete balance sheet reconciliations, maintaining accuracy and timeliness across all accounts.
- Analyse financial statements, including Balance sheet and P&L, to provide comprehensive insights into the company's financial performance during monthly performance meetings.
- Assist with the preparation of periodic cash flow forecasts.
- Assist with the preparation and review of statutory accounts.
- Collaborate with local and group auditors to facilitate seamless auditing processes and ensure compliance with regulatory standards.
- Prepare yearly budgets and quarterly forecasts of the holding companies in partnership with FP&A team.
- Maintain and improve internal controls for financial reporting processes to mitigate risks and enhance financial integrity.
- Ad hoc projects as required.
- Qualified ACA / ACCA.
- 3-4 years of experience in a relevant finance role
- Strong analytical and problem-solving skills, with the ability to dissect complex financial data and communicate insights effectively
- Excellent interpersonal and communication skills, with the ability to collaborate across departments
