AcountingPrepare monthly management accounts, financial statements, and executive decision-support analysis.Generate project P&L, project tracking, aging (AR/AP/Inventory), and intercompany reports.Manage full set of accounts (AP, GL, Fixed Assets, Inventory, Bank) and monthly/annual closures.Oversee journal entries, reconciliations (bank/stock/balance sheet), accruals, prepayments, and staff claims.TreasuryManage trade payment processing, vendor payment s
AcountingPrepare monthly management accounts, financial statements, and executive decision-support analysis.Generate project P&L, project tracking, aging (AR/AP/Inventory), and intercompany reports.Manage full set of accounts (AP, GL, Fixed Assets, Inventory, Bank) and monthly/annual closures.Oversee journal entries, reconciliations (bank/stock/balance sheet), accruals, prepayments, and staff claims.TreasuryManage trade payment processing, vendor payment s
Key Responsibilities1. End-to-End Accounting & Financial GovernanceClosing & Reporting: Lead the month-end, quarter-end, and year-end financial closing cycles, ensuring complete accuracy and timely compliance with local GAAPs and IFRS standards.Balance Sheet Integrity: Oversee general ledger activities, bank reconciliations, accounts payable/receivable pipelines, and statutory tax compliance (Corporate Income Tax, SST/VAT, Withholding Tax).Audit & Statutor
Key Responsibilities1. End-to-End Accounting & Financial GovernanceClosing & Reporting: Lead the month-end, quarter-end, and year-end financial closing cycles, ensuring complete accuracy and timely compliance with local GAAPs and IFRS standards.Balance Sheet Integrity: Oversee general ledger activities, bank reconciliations, accounts payable/receivable pipelines, and statutory tax compliance (Corporate Income Tax, SST/VAT, Withholding Tax).Audit & Statutor