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Job Description
The role will report directly to the Group Financial Controller and will support the group by leading or assisting in the below:
- Perform budget preparation and expense management activities for the Group
- Perform month-end accounting activities such as reconciliations and journal entries review
- Generate financial reports to Managers for review monthly
- Assist in monitoring expenditures, analyze revenues and determine budget variances
- Assist in projecting monthly operating expenses forecast to budget and cash flow needs for the Group
- Monitor returns on cash management plans and foreign exchange risks
- Support in the preparation of full consolidated financial statements of the Group which includes balance sheet, income statement and cash flow statements
- Respond to accounting inquiries from the management in a timely fashion.
- Assist in auditing activities by providing necessary information and preparing requested documentations.
- Follow up on open accounts receivable and invoices
Job Requirements
- BA degree in accounting (English section). Master’s will be a plus
- Excellent written and verbal communication skills in English
- Advanced proficiency in Microsoft Excel. Other accounting software is a plus
- 5+ years’ experience in audit & accounting in financial services or service-oriented businesses.
- Highly skilled in translating and presenting data in a concise and meaningful fashion to multiple audiences
- Attentive to details
- Highly responsive, with a strong sense of urgency and a definitive emphasis on quality control
- Able to handle confidential information with integrity and maturity.