Lead the timely and accurate submission of statutory accounts across multiple jurisdictions.
Oversee local audits, acting as the main point of contact for auditors.
Ensure compliance with local and international financial regulations and internal policies.
Support the preparation of cash flow forecasts by gathering data, validating inputs and updating treasury models.
Assist in daily and weekly cash and FX position monitoring across group entities, preparing summary reports for management and highlighting potential shortfalls or surpluses.
Track and report on key treasury metrics such as bank balances, intercompany funding and FX exposures, helping to identify trends and ensure data accuracy.
Supervise day-to-day accounting activities in collaboration with the shared services center.
Support month-end and year-end closing processes, ensuring accurate and timely reporting.
Manage key financial software applications such as cash application and automated lease accounting.
Contribute to cross-functional systems projects, particularly in financial systems and billing platforms.
Identify opportunities for automation and process optimisation across the finance function to enable the business to maintain control and efficiency during hyper-growth.
Act as primary liaison with auditors and tax advisors; ensure local compliance while aligning with group-wide standards.
Report directly to the Head of Treasury and Compliance and work closely with treasury and finance teams.
Requirements
Bachelor’s degree in Accounting, Finance or related field.
Minimum 5 years of experience in accounting/audit/controller roles.
Experience with IFRS; other GAAPs is a plus.
Proficiency with financial systems and general ERP or billing tools.
Excellent organisational and time-management skills.
Problem-solving mindset with a proactive approach to continuous improvement.
Strong Excel and analytical skills.
Fluency in English, with excellent written and verbal communication skills.
Previous experience in external audit, preferably with a Big 4 firm.
Professional accounting qualification (e.g., ACCA, CPA, CA).
Hands-on experience in corporate treasury, including cash and FX management.
Experience with process automation tools (e.g., Power Automate, Alteryx, etc.).
Experience in the telecommunications or technology sector.
Familiarity with NetSuite or similar ERP systems.
Interest or experience in systems implementation or process improvement initiatives.