Management Trainee, Corporate Finance
Current- Conduct monthly bank reconciliations to ensure financial accuracy, identifying and resolvingdiscrepancies, and implementing adjustments—improving reconciliation efficiency by 14%- Document reconciliation processes for audit compliance, maintain records, and collaborate with the finance team to resolve outstanding issues, generating reports for management review● Project: IFRS 16 Compliance: -Oversee IFRS 16 compliance across the organization, managing lease classification andrecognition of assets and liabilities -Conduct regular assessments of lease modifications and maintain comprehensivedocumentation, collaborating with finance and operations teams to integrate data, generatereports, and support decision-making