Your new company
My client is a Global Shared Service that is a world-leading and global leader in its industry. They are looking to hire a Corporate Finance Manager that's experienced in both Cash Flow Forecasting and Financial Reporting.
Job Responsibilities
- Accountable for period-end closing activities to ensure timely completion of Trial Balance, P&L, Balance Sheet, Cash Flow.
- Deliver half year and full year operating and free cash flow targets by forecasting and tracking cash movements.
- Responsible to generate cash flow forecast and ensure adequate cash availability to avoid business disruption.
- Review journal entries, balance sheet reconciliations, fixed assets, intercompany transactions, corporate authority limits.
What you'll need to succeed
- 3-4 years of people management experience.
- Experience in Corporate Finance, Cash Flow Management and Financial Reporting/full sets of accounts.
- Strong stakeholder management skills.
- Audit background is an added advantage.
- SAP is an added advantage.
What you'll get in return
- Fortune Global 500 Company with excellent global support and training.
- Regional exposure and dynamic team culture.
- Accessibility by public transport.
What you need to do now
If you're interested in this role, click apply now to forward an up-to-date copy of your CV, or call us now.
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