Posted:10 hours ago|
Platform:
Work from Office
Full Time
The role is responsible for completing all period close activities including ensuring profit and loss (P&L) and balance sheet journals are updated within the general ledger (GL), reconciling and validating balances whilst resolving any disputes, analysis of key financial and headcount information. To generate management packs and commercial analysis reports to support forecasting, monitoring, and controlling of costs. The role plays a pivot role in overseeing and optimizing financial process and project accounting ensuring the accuracy, timeliness, and compliance of financial closing & reporting and tracking of cost, revenue analysis and profitability. Maintain the aims and objectives of the FSS to deliver excellent customer service by embedding high standards and principles, streamlining, automating, and improving processes whilst removing duplication and inefficiency.
• Prepare and review high level analysis of key variances (fees and costs) and headcounts prior to period/budget and prepare month end reports for sign off
• Prepare, analyse, and post period end journals related to accruals, prepayments, allocations and offsets
• Produce, analyse and review, first draft management reporting ensuring all figures are reconciled and accurate within the timeline
• Prepare and ensure the accuracy of financial data submissions into the Hyperion system following the review and approval process
• Conduct thorough commercial finance analysis and prepare operational report to provide deep commercial insights and monitor performance against both financial and non-financial targets
• Ensure all process documentation including standard operating procedures (SOPs) are created and maintained
• Perform ad hoc analyses and projects from the management internal and in-market
Consult Shekhar Pandey
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