Financial Expert Required
About the Role
* Provide key support to a team of senior finance professionals, enabling them to effectively manage financial operations.
* Assist with preparing detailed monthly management reports, creditors and debtors ledger, and payroll analysis.
* Ensure timely and accurate completion of monthly and quarterly reconciliations.
The ideal candidate will possess strong analytical skills, be highly organized, and have a solid understanding of financial regulations.
Key Responsibilities:
1. Support financial close processes across multiple entities, analyzing variances between budget and forecast.
2. Contribute to budgeting and forecasting activities, assist in all areas of financial planning, and maintain the accuracy of the budgeting model.
3. Prepare comprehensive monthly P&L and cash flow forecasts, including associated commentary.
4. Participate in internal and external audit processes, liaise with auditors, and contribute to local statutory account preparation.