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About this role
Job Responsibilities
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Partner with the Finance team to manage month-end and quarter-end close processes, maintain parallel books in accordance with IFRS, prepare and review reconciliations, support accounting adjustments, and ensure financial records are accurate and well-documented.
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Prepare and coordinate financial statements, regulatory reporting, audit deliverables, management reporting, and business forecasts in collaboration with the FP&A team.
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Partner with senior management and business leaders to provide financial insights and support regular leadership reviews and decision-making.
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Perform financial analysis, business case assessments, and financial modelling to support strategic initiatives and revenue growth opportunities.
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Identify and drive process improvements through automation, reporting enhancements, dashboard development, and optimisation initiatives.
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