Lead the completion of monthly and quarterly financial deliverables and month-end close, managing various accruals, provisions, and reporting
Job Summary
Lead the completion of monthly and quarterly financial deliverables and month-end close, managing various accruals, provisions, and reporting.
Provide financial insights, analysis, and problem-solving support to internal stakeholders, building strong business partnerships.
Ensure documentation, review, and continuous improvement of finance processes, policies, and procedures, while supporting financial integration of new companies.
Matching Summary
Lead the completion of monthly and quarterly financial deliverables and month-end close, managing various accruals, provisions, and reporting.
Skills & Requirements
Must-have
monthly and quarterly financial deliverables
overhead accruals and prepayments
revenue recognition processes
balance sheet reconciliations
tangible and intangible assets
inventory reconciliations
financial analysis and problem-solving
Nice-to-have
thrives in a fast-paced environment
values data integrity
enhances financial processes
build strong business partnerships
committed to continuous improvement
Key Requirements
Minimum 3 years of professional accounting experience
Degree in Accounting, Finance, or Business
CA/CPA qualification (or equivalent) preferred
Strong understanding of accounting principles and standards (IFRS / A-IFRS)
Advanced computer literacy, including accounting systems and MS Office