Responsible for the preparation of regular monthly reports of Corporate Finance, Statutory purposes, and local management reporting Accountability for the outcomes of all accounting and financial reporting activities Manage the Annual Statutory Audit Cash flow analysis Monitor relevance and accuracy of the different sources of information Manage the monthly closing of the ledgers ensuring the financial data accuracy Estimate the final Annual Operating Expense preparation at month-end Assist in the yearly budget preparation Manage all internal expenses Liaise with external service providers and monitor expenditure Review of Balance Sheet Accounts reconciliation To be a business partner, closely cooperating with commercial, supply chain, and other business and project managers to understand the local business challenges and strategies Ensure compliance with both policies and procedures Qualifications
Bachelor's Degree in Accounting or qualified through ACCA, AAT Proven ability to understand key business drivers and how to translate these into meaningful reporting Demonstrated ability to understand and use technology to improve process and control Strong problem solving and analytical skills Demonstrate flexibility and ability to deal with ambiguity during the implementation phase
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