Your role
Our Finance team play a vital role in planning, managing, and controlling financial resources of the company ensuring effective and efficient financial management to support the company in achieving its goals. Our Finance team comprises of Financial Planning & Analysis, Account Receivables, Account Payables, Financial & Management Reporting, and Audit.
As part of the team, you will be involved in all/any of the following key activities:
- Perform month end closing, tax and financial reporting requirements, which includes preparation and analysis of financial statements for the legal entities in the regions.
- Ensure finance operations such as Account Payable, Account Receivable, and General Accounting are in compliance to Group and local statutory policies working with the respective region finance operations leaders.
- Responsible for financial analysis of the Group’s performance, budget variance analysis and provides information and advice to management on performance achieved and areas for improvements.
- Drive the annual budgetary control process and work with managers on setting annual targets.
- Preparation of timely and accurate management reports for submission to Management, ARC and Board on a regular basis for review and decision-making purpose.
- Drive the audit exercise and ensure compliance.
Requirements
Years of experience:
- Minimum of 5 years of hands on experience in financial planning & analysis / general accounting / account payable / account receivable / audit.
- Candidates with good business acumen, interpersonal, communication, and analytical skills.
- Ability to work with all levels of staff and cope with changes is essential.
- Experience with ERP implementation (Cognos Controller/TM1/Power BI) and process improvements will be an added advantag
Certification:
Education:
- Bachelor’s degree in accountancy or professional accountancy qualification