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With a global perspective to investment management over the years, our service delivery and asset management best practices reveal that we play a key role in investors' lives, which provides a solid foundation for our core brand idea and value proposition - 'Realising Ambitions'.
Our current client base includes private sector institutions, public sector ...
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Responsible for consolidation of all monthly, quarterly, half yearly and annual accounts and financial statements for the company within regulatory and market timelines
Responsible for reviewing and validating the accuracy of monthly financial statements
Ensure all reporting is based on appropriate IFRS standards and appropriate regulatory/market standards
Providing commentary for the financial statements based on insights into financial markets using country information
Analysis of operating and financial reports for various stakeholders including and not limited to management, shareholders, investors and any other stakeholders
Responsible for all statutory reporting on the financial statements as required by local and international stock exchanges and ensuring all returns and reports expected from the company are prepared in line with regulation
Responsible for financial reports as required by various committees of the company
In conjunction with the tax consultants, manage the process for the computation, recognition and remittance of all taxes and other tax matters across all the Group
Ownership of the tax consolidation and compliance function of the group including preparation and consolidation of corporate tax returns for the Group
Reporting on corporate tax exposures involving all tax issues and issuing business activity statements (BAS)
Liaising with external auditors on interim reporting
Preparation of presentations, analyses of market information, data and other statements to support management and financial reports
Financial and market research including analyses
Support the GMD, Group CFO, CFO’s of subsidiaries, and Corporate Strategy & Investor Relations Office as required
Any other assignment as required.
Balance Sheet Report
Income Statement Report
Cash Flow Report
Various other financial and operating reports
Presentations, analyses, reports etc
Should possess a Bachelor's Degree in Business or the Social Sciences. ACCACPA certificate would be preferred
Up to 8 years experience, preferably in a similar role
Experience in any of the big audit firms
Corporate reporting; Internal & External
Worked with a UK Publicly Quoted Company in a similar function
Deep understanding of LSE & NSE reporting requirements and technicalities
Familiarity with LSE & NSE working rules
Should be highly knowledgeable of Accounting standards, IFRS, GAAPs etc
Deep understanding of financial regulations in various markets
Logical mindset, capable of evaluating and handling transactions with a high degree of complexity
Should have significant experience with integrated financial systems and strong excel skills
Report writing skills
Strong bias for research
French language skill is an added advantage
Experience working in UK or the developed market is an added advantage.