Review monthly account closing to ensure timely and accurate recording of transactions in compliance with financial reporting standards and company policies.
To perform consolidation accounts for the group.
Assist in the preparation of accurate annual financial statements.
Liaise with auditor and tax agent by providing necessary documentation.
Lead the preparation of the annual consolidated group budget, working across departments, regional teams, and subsidiaries.
Perform monthly variance analysis against budgets and forecasts to identify key drivers and provide actionable insights.
Present analysis findings to management.
Conduct regular bank, intercompany, and balance sheet reconciliations.
Oversee day to day GL operations, provide guidance and supervision to finance GL team.
Prepare and compute corporate tax, VAT/GST, and withholding tax obligations based on local tax laws and inte...
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