Key Responsibilities:
Prepare and analyze group management reports and financial statements to support strategic decision-making.
Manage the full set of accounts and oversee consolidation processes, ensuring accuracy and adherence to accounting standards.
Review financial operations to identify inefficiencies and implement system-based improvements.
Liaise with auditors, tax consultants, and internal teams to ensure regulatory compliance and smooth financial processes.
Deliver commercial insights and financial analysis to support business planning and decision-making.
Contribute to ERP and system enhancement initiatives aimed at streamlining finance workflows and boosting efficiency.
Lead special projects, drive improvements in reporting processes, and develop data visualization tools for management reporting.
Requirements:
Bachelor's degree in Accounting or Finance, or a professional qualification (e.g., ACCA).
4–6 years of experience in audit, commercial finance, or financial operations.
Proven experience in financial transformation and system automation initiatives.
Proficient in Microsoft Excel and PowerPoint; familiarity with AutoCount is an advantage.
Strong commercial acumen with a proactive and self-driven approach.
Excellent team player with a positive attitude and a growth-oriented mindset.