Apply Now

Job Description

Duties & Responsibilities


Bachelor’s degree in Accounting, Finance, or a related field
Proven experience (5+ years) in a similar role, preferably within a listed group structure or multi-entity environment.
A good understanding of accounting principles and record keeping
Proficiency in treasury systems, pastel and Excel skills.
Excellent analytical, communication, and interpersonal skills to collaborate effectively with diverse stakeholders

Key Performance Areas:

Financial reporting
Budget management
Financial controls
Risk management and compliance, including Dutch Co-op
External audit co-ordination
Business partnering, decision and corporate activity support
Accounting policy development
Cost and management accounting
Supervision and support of teams and projects
Finance technology systems improvement and integration
Group and HQ cash management
Bank reconciliations/ financial compliances with banks
Cashbook and general ledger management
Investment/money market account management
Risk(hedging, forex etc.) activities, and liquidity planning
Treasury reporting and cash forecasting
Treasury systems, best practices(policies) and implementations
Compliance monitoring
General accounting maintenance for head office companies
Email CV: