Job Description
- Develop and oversee the preparation and monitoring of the companys overall budget ensuring accurate projectspecific allocations and departmental funding.
- Prepare comprehensive monthly and quarterly financial reports including detailed cash flow statements for presentation to senior management.
- Facilitate the monthend and yearend closing processes ensuring the timely and accurate completion of all financial statements.
- Maintain and reconcile general ledger accounts to guarantee the accuracy and completeness of financial records.
- Prepare and reconcile journal entries accruals and adjustments to reflect the companys financial position accurately.
- Ensure strict compliance with international accounting standards (IFRS GAAP) and internal company policies.
- Support internal and external audit processes by preparing and providing necessary documentation and reports.
- Monitor budget adherence across departments and projects identifying discrepancies and recommending corrective actions as necessary.
- Implement and maintain robust internal controls to protect the integrity of financial data and ensure regulatory compliance.
Qualifications :
Candidate Profile
We recognize that each applicant will bring different experience but the ideal candidate will have:
- 8 years of experience in relevant finance and accounting roles.
- Knowledge of accountancy policies and procedures .
- Knowledge in Oracle system will be a plus
- Experience in audit/quality management is a bonus
- Good spoken and written English
- Strong computer skills (proficiency in Microsoft applications Excel advanced).
- Good organisational skills and experience of working as part of a team
- Flexibility and adaptability
- Integrity and confidentiality
Remote Work :
No
Employment Type :
Fulltime