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Key Duties/Responsibilities:
Carrying out intergroup transactions, including loans, interest, dividends, and transfer pricing.
Liaising with Banks and other financial institutions on funding requirements and evaluating options.
Cash Flow and Fund Flow management.
Evaluating and executing Financing when required.
Management of existing investments.
Weekly and monthly consolidating reporting for the Group.
Managing accounting personnel of the subsidiaries.
Reviewing bank reconciliations.
Debtors and creditors reviews.
Intercompany reconciliation.
Preparing financial statements.
Tax calculations and submissions to relevant parties and authorities for all entities in various jurisdictions.
Preparing year-end audit packs for all entities.
Liaising with external auditors.
Basic bookkeeping for head office and a small subsidiaries including invoicing and cash book balances.
Analysis of potential investments and returns.
Carrying out KYC and legal secretarial requirements across all entities in the Group.
Key Skills/Experience:
Educated to degree level in Accounting, Finance, Economics or another related field.
Holders of any relevant accounting qualification are encouraged to apply, although this is not essential.
Proven experience in a relevant accounting and finance role is essential.
A strong understanding of international trade, including cross border transactions.
Previous experience with any KYC and legal secretarial duties is highly desirable.
Excellent communication skills in English, both verbal and written are essential.
Strong organizational and time management skills.
Proficiency in Microsoft Office Suite.
Attention to detail and accuracy.
Ability to prioritize tasks and multitask.
Ability to work independently and as part of a team.
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