Responsibilities:
Check and reconcile financial data of subsidiaries
Participate in period-end closing and group consolidation
Prepare monthly, quarterly, and annual financial statements and disclosures for partners
Reengineer current business processes to minimize risks and inefficiencies
Support cash flow planning
Support the annual budgeting
Control fx hedging requirements
Perform monthly variance analysis comparing to history, forecast and budget
Create and maintain new financial models using complex data sets and formulas to deliver insightful reporting
Perform other ad hoc projects as needed.
Bachelor's degree and/or master’s degree in Finance, Accounting, or similar major 3+ years of experience in related field Upper-intermediate English ACCA/CIMA/CMA/CFA qualification is a strong plus Good knowledge of IFRS Big 4 experience is a big plus Advanced Proficiency in Excel Attention to details.