Manage and optimize financial processes across multiple markets and platforms.
Execute and oversee payments, perform reconciliations, and validate financial data for accuracy.
Support budgeting, forecasting, and scenario modeling in Excel / Google Sheets.
Assist with tax submissions, including VAT, withholding tax, and duties.
Help manage cash flow across entities to maintain liquidity.
Contribute to audit preparation, compliance, and internal control processes.
Collaborate with cross-functional teams to enhance reporting and financial workflows.
Focus on designing and automating financial processes using SQL, Python, and low-code platforms to drive efficiency and business continuity.
Degree or qualification in :
Accounting
Management Accounting
Finance
Skills Required & Developed :
Strong attention to detail and analytical thinking.
Proficiency in Microsoft Excel (experience with SQL, Python, or data manipulation is advantageous).
Experience with tax, accounting, or treasury processes.
Comfortable working with new technologies and evolving systems.
Ability to meet deadlines and work well under pressure.
Strong communication skills and ability to collaborate across geographies.