Manage the monthly, quarterly and yearend consolidation processes of NEOM, working closely with the appropriate stakeholders (senior leadership, sector heads, legal, treasury, FP&A, shared services).
Responsible for coordinating and delivering monthly, quarterly and annual reporting schedules/deliverables.
Establish, manage and communicate financial reporting deadlines of key close dates.
Coordinate, monitor and manage the group entities listing and ensure that relevant consolidation/investment accounting treatment is established for each investment in accordance with the group accounting policies of NEOM as well as the provisions of IFRSs.
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