Manage the full set of accounting activities, including audit coordination and tax compliance, ensuring all transactions—such as accruals and provisions—are accurately recorded.
Perform weekly P&L reconciliations to ensure timely and accurate recognition of sales, purchases, and costs.
Coordinate with the HQ finance team to ensure accurate recording of intercompany transactions.
Work closely with internal teams (e.g., Credit, Operations, Compliance, Product) and external stakeholders (e.g., auditors, regulators) to ensure financial processes align with company policies and legal requirements.
Oversee daily financial operations, including accruals and provisions, to ensure data integrity and regulatory compliance.
Prepare and deliver monthly financial reports to internal stakeholders.
Qualifications
Bachelor degree in Accounting or Economics.
3+ Years working experience accounting including audit and tax or similar role
Having experience with P/L reconciliation on sales, purchases and costs
Advanced knowledge of MS Excel (creating spreadsheets and charts and using financial Excel functions).