As a Controller you will play a pivotal role in managing our financial operations to ensure the organisations long-term stability and impact. You will be responsible for key functions such as cash flow management treasury oversight and the accurate preparation of financial statements.
Key responsibilities:
- Financial Management: cash flow oversight managing accounting payment and treasury functions ensuring financial accuracy
- Reporting: preparing financial statements management reports grant reports and compliance documents
- Budgeting and Forecasting: developing and monitoring budgets conducting variance analysis and preparing financial forecasts
- Treasury Management
- Internal Controls: implementing controls mitigating risks and developing policies
- Compliance: overseeing tax filings ensuring adherence to laws and standards
- System Optimization: maintaining and improving financial systems and processes
- Collaboration: supporting other departments with team-based budgets and aligning with organisational goals
Qualifications :
In order to succeed in this role you have:
- Bachelors degree in Accounting Finance or related field.
- Solid treasury management experience.
- Experience assessing the effectiveness and oversight of operational and financial control implementation; ensures compliance within a matrixed global and diverse organization
- Must be able to integrate knowledge across disciplines and demonstrate effective leadership with relationship development skills
- Experience of regulated environments preferred
- Proficiency with accounting & finance systems/software applications
- Market and industry knowledge a plus
Remote Work :
Yes
Employment Type :
Full-time