Lead monthly management accounts and financial analysis reports, ensuring timeliness, accuracy, completeness, and compliance with Group reporting requirements and regulatory standards.
Responsible and lead the treasury activities, including cash flow planning and treasury activities to ensure optimal liquidity management.
Coordinate with Business Unit and subsidiary finance teams to compile financial data, perform detailed monthly variance analysis, identify key performance drivers, monitor action plans with BU heads and provide commentaries on Group financial performance.
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Lead monthly management accounts and financial analysis reports, ensuring timeliness, accuracy, completeness, and compliance with Group reporting requirements and regulatory standards.
Responsible and lead the treasury activities, including cash flow planning and treasury activities to ensure optimal liquidity management.
Coordinate with Business Unit and subsidiary finance teams to compile financial data, perform detailed monthly variance analysis, identify key performance drivers, monitor action plans with BU heads and provide commentaries on Group financial performance.
...