Qualifications: Chartered Accountant with 5-10 years of experience (mandatory) Immediate Availability: Preference for candidates who can start immediately
JOB RESPONSIBILITIES
- Prepare and analyze monthly & annual financial statements.
- Preparation of projected cash flows & P&L for various purposes.
- Preparation of ad hoc reports to the Management.
- Monitor cash flow and budget to ensure financial stability.
- Liaise with Bank, IRD & External Auditors.
- Timely payment of taxes and filing returns.
- Oversee account payables, bank reconciliation, income reconciliations, depreciation & insurance.
- Manage account payable and receivable functions, including supplier payments, ensuring timely processing of transactions.
- Management skills, including people management, organizing, planning budgets, capacity planning & maximizing operational efficiency of the department.
QUALIFICATIONS
- Chartered Accountant with 5-10 years of hands-on experience in a similar role (mandatory).
- Strong understanding of financial management, budgeting, forecasting, and reporting.
- Proven track record in managing financial operations in a dynamic environment.
- Experience in tax compliance, audit preparation, and cash flow management.
- Excellent leadership, communication, and problem-solving skills.
- Ability to work effectively in a fast-paced, results-driven environment.
- Immediate availability is highly preferred.
Location: Colombo 5 (Saturday half-day remote working)