Job Description
Key Responsibilities
Accounts Payable & Vendor Management
• Process vendor invoices with complete documentation and ensure timely payments across all entities.
• Maintain accurate vendor records and reconcile supplier statements.
• Review AP aging reports and address outstanding balances.
Accounts Receivable & Billing
• Prepare, review, and send accurate sales invoices to global clients.
• Track client payments, follow up on overdue accounts, and manage AR aging reports.
• Record and reconcile all client receipts across subsidiaries.
Inventory & Stock Management
• Monitor and reconcile inventory transactions across all countries of operation, ensuring accurate and up-to-date stock reports for every business line.
Banking & Reconciliation
• Perform weekly and monthly bank reconciliations across multiple accounts, ensuring accuracy for each industry and subsidiary.
Cash Flow & Treasury Management
• Monitor and forecast cash flow requirements across multiple subsidiaries.
• Manage treasury activities, including fund allocations, intercompany transfers, and liquidity optimization.
• Maintain oversight of working capital for efficient resource use.
Financial Closing, Reporting & Consolidation
• Maintain separate financial records for each subsidiary and business unit.
• Prepare individual profit and loss statements and performance reports.
• Consolidate subsidiary financials into Group-level statements.
Costing & Profitability Analysis
• Analyze profitability for each subsidiary and business unit.
• Develop costing models to support pricing and cost control.
• Recommend strategies to enhance profitability.
Subsidiary Coordination & Financial Oversight
• Collaborate with finance teams in each country to manage reporting and inventory.
• Track and maintain accounts of subsidiary companies, calculate operational hour values and process payments.
• Ensure compliance with Group financial policies.
Audit, Tax & Compliance
• Coordinate with external auditors for annual and interim audits.
• Assist with VAT filings, Corporate Tax submissions and UAE compliance.
• Support tax documentation in other operating countries.
Key Competencies
• Financial reporting & consolidation expertise
• Analytical, costing, and profitability assessment skills
• Strong attention to detail and accuracy
• Effective multinational communication and coordination
• Strong problem-solving capability
• Excellent time management across multi-country deadlines
• Leadership and stakeholder management
• Advanced ERP and Microsoft Excel skills
Qualifications
• Bachelor’s degree in Accounting, Finance, or related field (Master’s, CPA, ACCA, or CMA preferred)
• 2–5 years of experience in a multinational or multi-entity environment
• Strong AP/AR, reconciliation, cash flow management, costing, and reporting experience
• Experience with accounting systems (QuickBooks, Odoo, SAP, etc.)
• Advanced Excel proficiency
• Excellent communication skills
• Ability to work independently in a fast-paced environment
Ready to Apply?
Don't miss this opportunity! Apply now and join our team.
Job Details
Posted Date:
February 28, 2026
Job Type:
Finance and Insurance
Location:
India
Company:
POS Enterprise
Ready to Apply?
Don't miss this opportunity! Apply now and join our team.