Responsibilities
- Prepare monthly management accounts, flash reports, and variance analyses for entities and investors
- Manage month-end processes to ensure timely and accurate reporting
- Streamline Excel-based processes to enhance efficiency
- Lead annual budgeting, forecasting, and audit processes, acting as the primary liaison with auditors
- Oversee VAT submissions, tax calculations, and fixed asset management
- Provide ad-hoc support to the Finance and Payroll teams
Requirements
Accounting degree or diploma5+ years of financial accounting experienceAdvanced Microsoft Excel skills (essential)Experience with Pastel Partner and BI / reporting software (preferred)Hardworking, detail-oriented, and effective communicatorAbility to thrive under pressure and adapt to occasional overtimeDue to the high volume of applications received, only suitable candidates who meet the criteria of this vacancy will be contacted.