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Role Summary
We are seeking a highly analytical and experienced Finance Manager to oversee critical accounting and financial operations for our US and EMEA regions. This role is essential for driving accuracy in financial reporting, managing complex accrual and reconciliation processes, overseeing cash flow management, and ensuring strict audit compliance. The ideal candidate will bring rigor to our General Ledger (GL) activities, balance sheet governance, and cost management.
Key Responsibilities
Month-End Close, Accruals & Balance Sheet Governance
Financial Reporting & Cash Flow Management
Cost Management & P&L Analysis
Audit Support & Internal Controls
Qualifications & Requirements
Job ID: 152000051
Skills:
pricing strategy , SAP, Advanced Excel, Automation, Internal Controls, Process Improvement, Direct, Financial Reporting, Risk Management, Strategic Thinking, stakeholder, Budgeting, Regulatory Compliance, Financial Modelling, Collections, Costing, Forecasting, Cost Management, commercial finance, Cash Flow Management, Indirect, Treasury, ERP Systems, Audit Support, Cross-functional Collaboration, Mis, Taxation, Decision-Making, Credit Control
Skills:
Ms Excel, Tally, Crm Systems, dashboard creation, Bank Reconciliation, audits, Gst, Tds, budgeting, Forecasting, Accounts Payable
Skills:
Financial Planning And Analysis, Risk Management, Compliance and Audit Oversight, Financial Strategy, Financial Reporting, Cash Flow Management, Capital Allocation and Investment, Knowledge of ERP systems, Cost Management
Skills:
Ms Excel, SAP, Power Point, Ind As, Financial Statements preparation, GL review
Skills:
Financial Analysis, Budgeting, Forecasting, Risk Management, Financial Reporting, Tax Compliance, Cash Flow, Cost Control, regulatory knowledge, Accounting Principles