Project Delivery Manager – Finance (U.S. Client Portfolios)
ACCA Careers · Lahore
Job description
About the role
Murkez Technologies is looking for an experienced Project Delivery Manager – Finance to lead finance and accounting delivery for U.S.-based client portfolios across retail, food chains, and franchise operations. You will ensure the accuracy, quality, and timeliness of all financial outputs while coordinating with internal teams and U.S. stakeholders.
Key responsibilities
- Review and validate work completed by finance and accounting team members before final submission.
- Oversee daily and periodic finance deliverables for restaurant and franchise operations, managing task allocation, deadlines, and delivery trackers.
- Supervise GL entries, AP, AR, bank and credit‑card reconciliations, intercompany transactions, and supporting schedules.
- Ensure accurate month‑end close, including accruals, pre‑payments, journal entries, variance analysis, and compliance with client accounting policies.
- Use Oracle Fusion (or other ERP) to review transactions, reports, approvals, and workflows, supporting process improvements and stronger controls.
- Review financial reports, reconciliation packs, variance explanations, and client deliverables for completeness and professional presentation.
- Coordinate communication between the finance team, internal management, and U.S. client stakeholders, highlighting status, risks, and required actions.
Required profile
- ACCA qualification (CA or CPA a plus).
- Strong professional accounting background with Big 4 experience, preferably in accounting advisory, finance transformation, or client delivery.
- Hands‑on experience with SAP, Oracle, or other ERP systems.
- Proven ability to manage team outputs, identify errors, resolve issues, and communicate confidently with senior stakeholders.
Required skills
- ACCA (or equivalent professional accounting certification).
- ERP expertise – SAP, Oracle Fusion, or similar.
- General ledger, accounts payable, accounts receivable, bank and credit‑card reconciliation.
- Intercompany transaction processing.
- Month‑end close procedures and variance analysis.
- Financial reporting and quality‑control documentation.
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Published 6 hours ago
Expires 1 month from now
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ACCA Careers
Lahore
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