Job Title:An Accounting and Reporting ProfessionalKey Responsibilities:Financial Analysis and ReportingPrepare comprehensive financial statements for entities on a monthly, quarterly, and annual basisAnalyse financial data, including balance sheets, income statements, and cash flow statements to identify trends and areas for improvementCollaborate with stakeholders to develop reporting packages that meet their needsAccounting Operations ManagementOversee the general ledger, accruals, and reconciliations to ensure accuracy and complianceReview and validate journal entries and maintain proper documentationCoordinate with local finance teams across subsidiaries to facilitate communication and collaborationCash Flow ManagementSupport treasury operations, including bank reconciliations and payment processing to optimize cash flowsAssist in developing strategies to maintain banking relationships and improve cash management processesProvide input for cash flow reporting and analysis at a group levelCompliance and Risk ManagementSupport statutory accounts preparation and liaise with external auditors and tax advisors to ensure complianceMonitor changes in accounting standards and assess their impact on the organizationProcess Improvement and Systems DevelopmentContribute to process optimizations and participate in ERP system upgrades to enhance efficiencyDevelop and maintain reporting templates and tools to support business intelligence