岗位描述
Financial reporting, consolidation, and month-end accounting activities.
Tax compliance, audits, and holding company accounts management.
Budgeting, forecasting, reconciliations, and management reporting support.
Responsibilities
Oversee day-to-day accounting activities and maintain accurate fixed asset records.
Support the month-end closing process and ensure timely financial reporting.
Compile monthly financial and operational reports for management review.
Maintain account reconciliations, supporting schedules, and financial analyses.
Assist in the preparation of consolidation entries and group reporting packages.
Process intercompany billings, prepare debit notes, and perform bank reconciliations.
Produce financial statements and management reports for investment and holding entities.
Provide support during annual audits and year-end financial closing activities.
Review financial statements to ensure accuracy and compliance with reporting standards.
Assist with corporate tax calculations, tax filings, and related documentation.
Support group-wide tax compliance and reporting requirements.
Contribute to budgeting exercises, forecasting activities, and financial planning processes.
Handle special projects and ad hoc assignments as required.
Requirements
Bachelor's degree in Accounting, Finance, Business Administration, or a related discipline.
At least 3 years of relevant accounting experience, preferably gained within a large or multinational organization.
Familiarity with ERP and financial reporting systems; experience with Oracle or Hyperion is an advantage.
Strong proficiency in Microsoft Office, particularly Excel, Word, and PowerPoint.
Good command of both written and spoken English.