Own role outcomes with measurable execution, clear documentation, sound judgment, stakeholder communication, risk escalation and continuous improvement.
Required skills
Double-entry accounting
Revenue recognition
Expense recognition
Accounts receivable
Accounts payable
Cash-flow management
Budget variance
Forecasting
Working capital
Internal controls
Bank reconciliation
Financial statements
Financial ratios
Tax and VAT coordination
Audit trail and estimates
Preferred skills
Professional English communication; strong analytical judgment; practical use of digital tools; evidence-based decisions; collaboration and accountability.