Support tax, e-invoicing, audit, and regulatory compliance requirements while ensuring adherence to company policies and procedures.
Maintain accurate financial records and support month-end reporting activities.
Support the implementation and review of internal controls, identify process improvement opportunities, drive finance automation initiatives, and provide support during internal and external audits.
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Design and execute sustainable, profitable country‑wide growth strategies to scale services revenue and margins across the country, zone, and region.
Develop and execute territory and account strategies, including opportunity identification, competitive positioning, and target setting, to maximize market penetration and share of wallet.
Build and maintain strong, trust‑based relationships with key customers, including technical, departmental, and executive‑level decision makers, to deliver superior customer outcomes.
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Design and execute sustainable, profitable country‑wide growth strategies to scale services revenue and margins across the country, zone, and region.
Develop and execute territory and account strategies, including opportunity identification, competitive positioning, and target setting, to maximize market penetration and share of wallet.
Build and maintain strong, trust‑based relationships with key customers, including technical, departmental, and executive‑level decision makers, to deliver superior customer outcomes.
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Build and manage sensors, packages, saved questions, dashboards, and automated actions to support operational and compliance needs.
Configure and maintain integrations via Tanium Connect (e.g., SIEM, CMDB, ITSM, and data lake platforms).
Develop reporting and trending dashboards using Reporting and Trends to give visibility into endpoint health, patch compliance, and configuration posture.
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Monitor and resolve issues arising from day-to-day BAU activities, escalating where necessary, and driving corrective actions and process enhancements.
Prepare and review general ledger reconciliations and expense reports to ensure completeness, accuracy, and proper financial control.
Support month-end close processes, including journal postings, accruals, and variance analysis.
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