Job Description
Financial Planning & Analysis:
- Develop and implement financial strategies policies and procedures.
- Prepare budgets forecasts and financial models to support business growth.
- Conduct financial analysis to identify trends risks and opportunities.
- Provide insights and recommendations to senior management for strategic decision-making.
Financial Reporting & Compliance:
- Prepare and present financial reports including profit and loss statements balance sheets and cash flow statements.
- Ensure compliance with tax regulations financial laws and company policies.
- Coordinate audits and manage relationships with external auditors.
- Maintain accurate financial records and implement internal controls.
Cash Flow & Risk Management:
- Monitor cash flow expenses and financial risks.
- Optimize working capital and financial efficiency.
- Develop strategies for cost control and profitability improvement.
- Assess and manage financial risks including currency fluctuations and market changes.
Team Leadership & Collaboration:
- Lead and mentor the finance team ensuring professional development.
- Collaborate with other departments to align financial strategies with business goals.
- Communicate financial information effectively to stakeholders and senior leadership.
Qualifications :
- A bachelors degree in Accounting Business Administration or related field.
- At least 5 years experience in a similar or related position.
- Ability to manage and lead teams.
- Very good knowledge of Accounting Procedures.
- Excellent analytical and communication skills.
- Experience in managing a secure and transparent internal control environment.
- Fluent in spoken and written English.
Additional Information :
Our commitment to Diversity & Inclusion:
We are an inclusive company and our ambition is to attract recruit and promote diverse talent.
Remote Work :
No
Employment Type :
Full-time