Job Description
- Solid understanding of IFRS & local accounting standards, able to apply & monitor booking accordingly
- Preparing financial reviews, P&L, Balance Sheet, Cash Flow analysis
- Cash flow management, control monthly cash out plans with collaborating with other functions
- Looking at current financial performance and identifying trends
- Developing financial models and providing financial forecasts, reports & control
- Properly monitor and justify group & local reporting differences and fully control provisions
- Support accounting team in daily operation jobs & monthly process of Cut-off