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Key Responsibilities:
. Prepare and maintain accurate financial statements in accordance withapplicable accounting standards.
. Perform consolidation of accounts for multiple entities and ensure timelymonth-end and year-end closing.
. Prepare financial projections, cash flow forecasts, and profitabilityanalyses to support management decision-making.
. Assist in the preparation, monitoring, and analysis of annual budgets andperiodic forecasts.
. Analyze budget variances and provide recommendations for cost control andfinancial improvement.
. Maintain and reconcile general ledger accounts, bank reconciliations, andintercompany transactions.
. Ensure compliance with statutory, tax, and internal financial reportingrequirements.
. Generate management reports and provide financial insights to seniormanagement.
. Utilize SAP for accounting, financial reporting, budgeting, and otherfinance-related activities.
. Support internal and external audits by preparing schedules and requireddocumentation.
. Collaborate with cross-functional teams to improve financial processes andcontrols.
Job ID: 152245543
Skills:
Management Accounting, Financial Analysis, Financial Modeling, Financial Modelling, Budgeting And Forecasting, Msp
Skills:
MS Excel., Reconciliation, Microsoft Dynamics 365, Invoicing, Journal Entries, Financial reporting