I've supported global finance operations at Stats Perform across General Ledger, Accounts Payable, Internal Reporting, and Cash Management.
In General Ledger, I prepared complex IFRS-compliant journal entries, completed month-end and year-end close activities, and reconciled balance sheet and P&L accounts. I also supported audits, performed FX calculations, and helped deliver a legal entity separation project.
I've transitioned accounting processes from an Australian finance team, reviewed purchase orders for accurate accounting treatment, and introduced Excel-based automation improvements.
In cash management and Accounts Payable, I prepared cash reports and forecasts, executed funding transfers, reconciled bank and supplier accounts, and resolved payment, invoice, and outstanding-balance discrepancies.

