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Responsibilities
Requirements
Preferred Experience
Job ID: 151686815
Skills:
Statutory Reporting, Audit, Cash Flow Management, Project Accounting, Taxation, Treasury, Group consolidation
Skills:
Digitalization, Forecasting, Compliance, Internal Controls, Financial Planning, Financial management, Process Improvements, Treasury, Reporting, Governance, Financial reporting standards, Corporate finance, Budgeting, Taxation, Operational Efficiency, Risk management
Skills:
risk management, Internal Controls, Fixed Asset Management, Cash Management, Project Costing, Forecasting, budgeting, margin improvement, statutory audit, Working Capital Management, investment decisions, capital expenditure, financial reporting, Tax Planning
Skills:
Liquidity planning, Working capital optimisation, Enterprise reporting systems, Financial Consolidation, Cash Flow Management, Statutory compliance, Forecasting, Intercompany processes, Budgeting, Tax matters, Financial Governance, Reporting
Skills:
Erp, Power Bi, Financial Planning, Treasury Operations, Financial Leadership, Working Capital Management, Process Excellence, Governance, Performance Management, Compliance, Business Partnering, Costing, Accounting, Commercial, Operational, Transformation