about the job
Core responsibilites:
Full Spectrum Accounting: Manage full set of accounts (P&L, BS, GL)
Group Cash Flow: Oversee daily, monthly, and yearly cash flow cycles, ensuring strategic fund allocation across all entities.
Retail Reconciliation: Reconcile monthly sales by cross-referencing POS reports, fleet cards, credit/debit settlements, and bank statements.
Compliance & Audit: Liaise with auditors, tax agents, company secretaries, and bankers to ensure 100% regulatory compliance.