with 15 entities across 13 countries. Management of the Treasury department handling the payment and collection
with the in-country managers for financial planning and opex / capex budget. Treasury: manages the payments
to support strategic decision-making. Manage cash flow, treasury, and working capital to optimize financial
to support strategic decision-making. Manage cash flow, treasury, and working capital to optimize financial
predicting future trends. Managing costing of stock, budgets and forecasts and treasury function.
Responsibilities
A high growth Fintech platform is looking for a curious group reporting accountant to deliver high quality financial reporting to Business and Finance leadership, including ● Monthly management packs ● Group Consolidation and Reporting ● Budget to Actuals variance analysis ● Unit cost and BU
risks. Manage stock costing, budgets, and forecasts. Consult with external auditors. Perform treasury functions
predicting future trends. Managing costing of stock, budgets and forecasts and treasury function. Responsibilities