Group Finance Manager
Current• Deliver timely monthly consolidation of income statements, cash/debt positions, and receivables aging reports and manage quarterly consolidation of group income statement, balance sheet, and cash flow statements, ensuring reporting deadlines. • Development of data engineering scripts using SQL and Python to automate reporting and KPI tracking, creating semantic models for Power BI dashboards to enable data democratization and facilitate data-driven decision-making across the organization.• Lead the group’s annual budget consolidation and quarterly forecasts, collaborating with department heads for accurate budget submissions and provide variance analysis to track performance against targets.• Support the review, finalization, and audit of annual financial statements for the parent and subsidiary companies by managing the audit processes and coordinating with external auditors to resolve findings and improve controls.• Drive initiatives for improving financial reporting and operational processes, collaborating with cross-functional teams and Group IT to enhance efficiency and system integration.• Play a key role in acquisition due diligence and integration processes, ensuring seamless transitions and alignment of financial systems.• Apply financial and economic concepts including financial modelling, economic analysis, cash flow (DCF), profitability, earnings, balance sheet, taxes, financial ratios, and alignment to KPIs.