Job Description

Responsibilities

Assist in the preparation of monthly, quarterly, and annual management financial reports, including variance analysis.

Supervise daily accounting operations, including accounts receivable, accounts payable, and general ledger functions.

Implement and monitor credit control and collection procedures to minimize bad debt risk.

Oversee treasury operations, including cash flow forecasting and management.

Prepare and coordinate audit schedules and documentation, and manage tax-related matters in liaison with external auditors and tax authorities.

Liaise with internal departments and related companies within the Group to gather and provide relevant financial information.

Support additional tasks such as system implementation, expense analysis, and the preparation of ad hoc reports.

Requirements

  • Diploma or Degree in Finance/Accountancy or partial professional qualification (e.g., ACCA, CIM...

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