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Looking for a skilled Accountant to manage our financial operations across our group of companies. This role reports directly to the Director and CFO. Key Responsibilities: * Prepare invoicing and manage collections for our clients and customers. * Reconcile the books, including accounts payable, receivable, and bank reconciliations. * Manage cash flow, monitor liquidity, and ensure efficient cash management. * Manage and reconcile intra-group transactions across different related entities. * Perform tax planning and ensure compliance with tax regulations. * Prepare monthly management accounts, ensuring accuracy and timeliness. * Analyze financial data and generate reports to support decision-making. * Identify and resolve financial discrepancies and propose improvements for financial efficiency and automation. Requirements: * Bachelor’s degree in Accounting, Finance, or related field. * Professional certification (CPA, ACCA, or equivalent) preferred. * Strong understanding of financial reporting, consolidations, and tax compliance. * Proficiency in accounting software (Xero or similar cloud accounting solutions) and Microsoft Excel and G Suite. * Analytical mindset with excellent problem-solving skills. * Great attention to detail and pride in keeping the books in top shape. * Excellent communication skills. * Experienced in handling SST submission Please email your resume to [email protected]