• Deliver reliable and timely financial and business reports and improve the reporting process by implementing new initiatives and automation to minimize errors, save time, and increase transparency. • Responsible for monthly management reports and comments on significant variances. • Participate in analyzing and reviewing investors’ presentations and key Performance Indicators (KPIs) of ventures. • Deliver timely and accurate quarterly board presentations. • Prepare monthly cash flow forecast and cash position report for monitoring and managing the organization's cash flow performance. • Conduct in-depth analysis of financial data, identifying trends, risks, and opportunities. • Collaborate in the consolidation process of the +20 venture. • Prepare yearly financial statements. • Review ventures’ accounts to ensure compliance with the recognition, measurement, and disclosure requirements of local GAAP.
Requirements:
• Bachelor's degree or higher in Accounting, Finance, or Management. • 4 to 6 years post-qualification and relevant experience in top-tier organizations. • Excellent Excel and PowerPoint skills. • Proficiency in financial software is preferred (Oracle, SAP). • Excellent English communication skills, oral and written. • Ability to work in a fast-paced environment. • Ability to cope with stress and uncertainty. • Age range: 25 to 32 years old.