Join a fast-growing international logistics company that is shaping the future of global supply chains with innovative and scalable solutions. They are committed to delivering seamless, dependable services for clients worldwide, supported by a culture that values collaboration and excellence. Their rapid growth creates unique career development opportunities, offering a stable and impactful path within the industry.
The Responsibilities
- End-of-month tasks: company-wide depreciation, fixed asset reporting, lease recognition, and balance sheet reconciliation
- Bank account reconciliation and fuel tax credit reporting
- Weekly cash forecasting and cash requests
- Balance sheet and revenue reconciliations
- Month-end reporting and general ledger (GL) reconciliation
- Review GL coding and process requisition requests in ERP systems
- Prepare and reconcile monthly prepayments, accruals, cross charges, and expenditures
- Daily cash flow and cash forecasting reports
- Create CAPEX reports with actuals and forecasts for presentations
- Support high-level controls and governance practices
- Collaborate with key stakeholders and business partners
- Additional ad hoc tasks as required
- SAP S/4HANA experience
- Proven background in financial/project accounting, ideally within the logistics/supply chain/transport space
- CA or CPA qualification (or in progress)
- On board with the 5 days in-office arrangement
- Strong focus on professional development and career growth
- Supportive, dynamic culture with ample mentorship opportunities
- Extensive exposure to senior leadership