Description: Oversee monthly and annual financial closing activities in line with HQ timelines. Perform expense variance analysis and provide explanations for significant movements. Review journals, accruals, provisions, reclassifications and balance sheet reconciliations. Review intercompany transactions and resolve variances. Review cashflow forecasts, bank reconciliations, loan placements / withdrawals and fund transfers. Review corporate tax related schedules and submissions. Review quarterly schedules for GST submissions. Liaise with internal auditors and external stakeholders including auditors, tax agents and Finance Shared Service team.
Location: Outram, Central Region
Posted on: 09-Feb-2026