Description Cultivate and maintain financial processes and policies that are effective accurate and consistent.
Guarantee compliance with applicable accounting standards.
Oversee the General Ledger accruals and reconciliation processes.
Ensure the timely completion of month-end and year-end closing activities.
Serve as the primary liaison for auditors during external audits.
Direct Cash Flow forecasting and manage working capital effectively.
Provide essential support for banking operations and investor relations.
Supervise the Accounts Receivable Accounts Payable and Payroll disbursement processes.
Ensure prompt billing collections and payments to vendors and employees.
Comply with all tax statutory and regulatory requirements.
Follow company policies and procedures diligently.
Strive to meet or exceed the targets and key objectives set by your Immediate Superior.
Embrace additional responsibilities and projects as they arise.
Requirements- Degree in Accountancy Finance or Business-related course
- At least 5-8 years experience in accounting or finance roles
- Strong knowledge in financial reporting standards and statutory compliance
- Experience working with NetSuite is preferred
- Strong attention to detail and analytical skills
- High integrity and commitment to accuracy and compliance
- Strong communications skills for working with stakeholders across the organization
- Ability to manage deadlines and effectively able to prioritize & execute tasks in a fast-paced and high-pressure environment
- Familiarity working in a tech startups or in hyper growth and scaling environments
- CPA will be preferred/advantaged
Required Experience:
Manager
Description Cultivate and maintain financial processes and policies that are effective accurate and consistent. Guarantee compliance with applicable accounting standards. Oversee the General Ledger accruals and reconciliation processes. Ensure the timely completion of month-end and year-end closing ...
Description Cultivate and maintain financial processes and policies that are effective accurate and consistent.
Guarantee compliance with applicable accounting standards.
Oversee the General Ledger accruals and reconciliation processes.
Ensure the timely completion of month-end and year-end closing activities.
Serve as the primary liaison for auditors during external audits.
Direct Cash Flow forecasting and manage working capital effectively.
Provide essential support for banking operations and investor relations.
Supervise the Accounts Receivable Accounts Payable and Payroll disbursement processes.
Ensure prompt billing collections and payments to vendors and employees.
Comply with all tax statutory and regulatory requirements.
Follow company policies and procedures diligently.
Strive to meet or exceed the targets and key objectives set by your Immediate Superior.
Embrace additional responsibilities and projects as they arise.
Requirements- Degree in Accountancy Finance or Business-related course
- At least 5-8 years experience in accounting or finance roles
- Strong knowledge in financial reporting standards and statutory compliance
- Experience working with NetSuite is preferred
- Strong attention to detail and analytical skills
- High integrity and commitment to accuracy and compliance
- Strong communications skills for working with stakeholders across the organization
- Ability to manage deadlines and effectively able to prioritize & execute tasks in a fast-paced and high-pressure environment
- Familiarity working in a tech startups or in hyper growth and scaling environments
- CPA will be preferred/advantaged
Required Experience:
Manager
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