Qualified or part qualified in either CIMA, CA, ACCA or a similar qualification
DUTIES AND RESPONSIBILITES
Prepare monthly and year-end financial accounts accurately
Conduct the month-end process and necessary reconciliations for the entity within the timelines Conduct timely financial reporting: P&L, Balance Sheet, Cashflow Statement Deliver required management reports including analysis and commentary
Conduct variance analysis and reconciliations such as Budget vs. Actual Variances, Balance Sheet and report on the same Maintain the Fixed Asset register
Review the information prepared by the outsourced teams for annual tax returns
Work closely with the external audit team
Assist in developing and integrating new processes
Assist with the continuous improvement initiatives within the Finance Department and implement best practices Perform ad-hoc tasks and projects as required
QUALIFICATIONS AND REQUIREMENTS
Qualified or part qualified in either CIMA, CA, ACCA or a similar qualification
Should have at least 3 years of experience in a similar role