Ensure financial data integrity through accurate booking, reconciliation, and analysis of financial transactions, upholding strict compliance with Group Finance Manual and policies
Job Summary
Ensure financial data integrity through accurate booking, reconciliation, and analysis of financial transactions, upholding strict compliance with Group Finance Manual and policies.
Manage Travel & Expense claims, prepare cashflow forecasts, maintain banking records, and optimize cash flow through effective AP management and timely payment processes.
Support month-end closing, audits, and drive efficiencies across existing AP processes while developing and coaching team members to meet KPIs.
Matching Summary
Ensure financial data integrity through accurate booking, reconciliation, and analysis of financial transactions, upholding strict compliance with Group Finance Manual and policies.