- Automate reporting processes and streamline data workflows for efficiency.
- Assist in financial modelling profitability analysis and cost optimization studies.
- Provide ad hoc financial and scenario analyses to support strategic planning
- Prepare consolidated accounts on monthly basis.
- Prepare MIS Dashboards KPI on monthly basis and deploy the same.
- Preparation of SOPs and process documents for Finance & Accounts function.
- Assist in the month-end and year-end financial closing process.
- Reconcile vendor statements and ensure all invoices are accounted for.
- Support the finance team in preparing accruals prepayments and adjustments.
- Generate reports on AP transactions and outstanding liabilities.
- Lead guide and facilitate the monthly closing process monitor all accounts ledgers and reporting systems ensuring accuracy.
- Interaction with internal stakeholders the operation team and ensuring Intercompany reconciliation on monthly basis
- Ensure compliance with accounting policies tax regulations and internal controls.
- Assist in internal and external audits.
- Identify opportunities for process improvements and automation.
Required Experience:
Manager
Automate reporting processes and streamline data workflows for efficiency.Assist in financial modelling profitability analysis and cost optimization studies.Provide ad hoc financial and scenario analyses to support strategic planningPrepare consolidated accounts on monthly basis.Prepare MIS Dashboar...
- Automate reporting processes and streamline data workflows for efficiency.
- Assist in financial modelling profitability analysis and cost optimization studies.
- Provide ad hoc financial and scenario analyses to support strategic planning
- Prepare consolidated accounts on monthly basis.
- Prepare MIS Dashboards KPI on monthly basis and deploy the same.
- Preparation of SOPs and process documents for Finance & Accounts function.
- Assist in the month-end and year-end financial closing process.
- Reconcile vendor statements and ensure all invoices are accounted for.
- Support the finance team in preparing accruals prepayments and adjustments.
- Generate reports on AP transactions and outstanding liabilities.
- Lead guide and facilitate the monthly closing process monitor all accounts ledgers and reporting systems ensuring accuracy.
- Interaction with internal stakeholders the operation team and ensuring Intercompany reconciliation on monthly basis
- Ensure compliance with accounting policies tax regulations and internal controls.
- Assist in internal and external audits.
- Identify opportunities for process improvements and automation.
Required Experience:
Manager
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