Senior Group Financial Accountant

    Mondia Group
    Posted 11/10/2025Senior Level
    Full-time
    Finance & Accounting
    Financial Reporting
    Consolidation
    IFRS
    GAAP
    Statutory Accounts

    Job Description

    WHAT WE DO | Our talented teams create tech that connects brands to people via meaningful content that impacts their lives in positive ways. By understanding where the markets are going and where technology fits in; we use our knowledge to identify solutions that boost businesses and shift user experiences. WHY WE’RE DIFFERENT | What makes us a leader in our industry, and different from other international digital tech companies, is our ability to tailor or custom create our offering to solve business challenges. WHERE YOU FIT IN | We aim to build an inspiring organization with an engaged and high performing culture. We believe in possibilities. We connect to the future. Think unlimited digital potential, global reach, limitless content, unreal experiences, real connections… now imagine the direct impact you could have in this landscape. If you are eager to work in an inspiring, dynamic environment and collaborate with like-minded people, we want to hear from you!

    About the Role:

    The Senior Group Accountant is responsible for managing and consolidating the financial accounts of the group, ensuring accurate and timely financial reporting. This role involves overseeing group-wide financial processes, maintaining compliance with accounting standards, and providing strategic financial insights to support senior management. The Senior Group Financial Accountant plays a crucial role in the preparation of financial statements, managing audits, and driving continuous improvement in financial processes across the group.

    Responsibilities:

    Financial Reporting & Consolidation:

    • Prepare and consolidate group financial statements in accordance with IFRS/GAAP.
    • Ensure timely and accurate monthly, quarterly, and annual financial reporting for the group.
    • Coordinate preparation of balance sheet reconciliations for each entity including and report movements on an entity and group level
    • Coordinate with subsidiary finance teams to gather financial data and ensure consistency across the group.
    • Manage bank reconciliations on a monthly basis for all entities ensuring all accounts are reconciled

    Statutory Accounts & Compliance:

    • Prepare statutory accounts for the group and ensure compliance with local and international accounting standards.
    • Liaise with external auditors during annual audits, ensuring smooth audit processes and timely resolution of audit queries across the group.
    • Ensure compliance with all regulatory requirements and maintain up-to-date knowledge of changes in accounting standards.

    Intercompany and CAPEX Accounting:

    • Manage intercompany transactions, reconciliations, and eliminations to ensure accurate group consolidation.
    • Ensure that all intercompany balances are accurately reported and reconciled on a monthly basis.
    • Ensure accurate recording of company CAPEX in accordance with IFRS
    • Review monthly CAPEX spend ensuring correct depreciation / amortisation rates are applied.
    • Regular reviews of impairment of assets and items no longer required / exist
    • Maintain group intangible and tangible Assets register and reconciliation

    Cash Flow & Treasury Management:

    • Assist in managing group cash flow, including cash flow forecasting and working capital management.

    Process Improvement & Automation:

    • Identify opportunities for process improvement and automation within the group finance function.
    • Lead or participate in projects to enhance financial systems, reporting tools, and processes to increase efficiency and accuracy.
    • Lead group wide implementation of new accounting standards

    Cross-functional Collaboration:

    • Work closely with other departments (e.g., Tax, Treasury, Legal) to ensure financial objectives are aligned and achieved.
    • Act as a key financial advisor to business units, providing guidance on financial implications of business decisions.

    Education

    • Bachelor’s degree in Finance, Accounting, or a related field; CPA, ACCA, CA, or equivalent certification preferred.

    Experience

    • At least 5 years of relevant accounting/finance experience

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