Job Description

1) Ensure high-quality accounting and financial operations across multiple local entities

Financial Accounting & Reporting


  • Oversee general ledger activities, monthly closing processes, and preparation of financial statements

  • Ensure accuracy and compliance with local GAAP and IFRS

  • Prepare statutory reporting and IFRS adjustments for Group consolidation

  • Manage relationships with external auditors and coordinate audits internally




Treasury & Cash Management


  • Monitor cash flows, banking relationships, and treasury operations

  • Support cash forecasting and liquidity planning

  • Ensure reliable cash actuals and forecast reporting to the Group

  • Identify and implement opportunities to optimize cash management




Tax Management


  • Oversee cor...

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