about the company.
A established publishing and media enterprise within the consumer products sector, our client maintains a strong market presence across regional business streams. The organisation is highly committed to operational excellence and business expansion, offering a structured environment that supports professional development and long-term career growth.
about the job.
In this role, you will support financial operations by managing full-set accounting workflows, monthly reporting schedules, and cash flow control functions.
- Manage accounts receivable, accounts payable, payment disbursements, and intercompany reconciliations.
- Maintain cash flow schedules, bank reconciliations, fixed asset registers, and inventory records.
- Assist with month-end closing activities, financial statement preparation, and general ledger maintenance.
- Prepare supporting schedules for management reports, budget tracking, and variance analysis.
- Coordinate with external partners including auditors, tax agents, and banking representatives to support compliance needs.
skills and experience required.
- Qualification or degree in accountancy, finance, or a related professional qualification.
- Minimum 2 years of experience handling full-set accounting operations.
- Proficiency in accounting software and spreadsheet applications for data compilation.
- Strong organizational capabilities, attention to detail, and ability to meet financial reporting timelines.
- Good communication skills to liaise effectively with cross-functional teams and external counterparties.