Key ResponsibilitiesFinancial Operations & ControlsExecute and manage budget adjustments and rebalancing activities, including quarterly purchase order rebalancingOwn budget reconciliation processes and ensure alignment across financial systemsPerform month-end activities such as accruals, reclassifications, and validation checksManage working capital and seasonality adjustmentsCoordinate release of financial obligations and ensure timely follow-upMaintain accurate financial records and ensure audit-ready documentationSystems & Data ManagementUpdate and maintain financial data across relevant finance and reporting toolsSupport reconciliations between financial systems in collaboration with key stakeholdersEnsure data accuracy, completeness, and consistency across reports and dashboardsStakeholder SupportSupport senior finance stakeholders with ad-hoc financial analysis and requestsWork closely with project, resource, and delivery teams on operational finance mattersProvide additional support during peak cycles such as budgeting, forecasting, and quarterly financial activitiesSkills & ExperienceEssentialDegree or qualification in Finance, Accounting, Business, or a related disciplineExperience in a finance operations, accounting, or shared services environmentStrong attention to detail with the ability to manage high transaction volumesSolid understanding of core accounting concepts (accruals, reclassifications, reconciliations)Strong Excel skillsAbility to work effectively in a structured, deadline-driven environmentDesirableExperience supporting IT, PMO, or project-based financial environmentsExposure to budgeting, forecasting, or cost tracking activitiesExperience working with financial systems and reporting toolsPart-qualified or studying towards a professional accounting qualification