Financial Management & Reporting
- Oversee the preparation of accurate and timely monthly quarterly and annual financial statements.
- Ensure compliance with International Financial Reporting Standards (IFRS) and applicable regulatory requirements.
- Manage the general ledger account reconciliations and consolidation of financial reports.
- Monitor and analyze financial performance providing actionable insights to management.
- Partner closely with the Group Team to provide monthly reporting with insightful analysis
Budgeting & Forecasting
- Lead the annual budgeting and forecasting process.
- Provide variance analysis and commentary on performance against budget and forecasts.
- Support business units with financial planning and cost control initiatives.
Financial Controls & Compliance
- Develop and maintain robust internal control systems to safeguard company assets.
- Ensure adherence to corporate policies procedures and statutory obligations.
- Coordinate and manage internal and external audits.
- Oversee tax planning filings and compliance with relevant laws and regulations.
- Develop and implement financial strategies policies and procedures that align to companys goals and objectives.
Treasury & Cash Flow Management
- Manage cash flow working capital and liquidity to ensure operational efficiency.
- Oversee bank relationships investments and financing arrangements.
- Optimize the companys capital structure and funding strategies.
Leadership & Team Management
- Lead coach and develop the finance and accounting team to ensure high performance.
- Foster a culture of accountability accuracy and continuous improvement.
- Collaborate cross-functionally to support strategic and operational goals.
- Providing strategic recommendations to the CEO/president and members of the executive management team.
- A degree in Finance Accounting or Economics.
- Professional qualification such as ACA ACCA CPA or equivalent is required.
- Minimum of 710 years of progressive experience in accounting and finance with at least 3 years in a senior management or controller role.
Required Experience:
Director
Financial Management & ReportingOversee the preparation of accurate and timely monthly quarterly and annual financial statements.Ensure compliance with International Financial Reporting Standards (IFRS) and applicable regulatory requirements.Manage the general ledger account reconciliations and cons...
Financial Management & Reporting
- Oversee the preparation of accurate and timely monthly quarterly and annual financial statements.
- Ensure compliance with International Financial Reporting Standards (IFRS) and applicable regulatory requirements.
- Manage the general ledger account reconciliations and consolidation of financial reports.
- Monitor and analyze financial performance providing actionable insights to management.
- Partner closely with the Group Team to provide monthly reporting with insightful analysis
Budgeting & Forecasting
- Lead the annual budgeting and forecasting process.
- Provide variance analysis and commentary on performance against budget and forecasts.
- Support business units with financial planning and cost control initiatives.
Financial Controls & Compliance
- Develop and maintain robust internal control systems to safeguard company assets.
- Ensure adherence to corporate policies procedures and statutory obligations.
- Coordinate and manage internal and external audits.
- Oversee tax planning filings and compliance with relevant laws and regulations.
- Develop and implement financial strategies policies and procedures that align to companys goals and objectives.
Treasury & Cash Flow Management
- Manage cash flow working capital and liquidity to ensure operational efficiency.
- Oversee bank relationships investments and financing arrangements.
- Optimize the companys capital structure and funding strategies.
Leadership & Team Management
- Lead coach and develop the finance and accounting team to ensure high performance.
- Foster a culture of accountability accuracy and continuous improvement.
- Collaborate cross-functionally to support strategic and operational goals.
- Providing strategic recommendations to the CEO/president and members of the executive management team.
- A degree in Finance Accounting or Economics.
- Professional qualification such as ACA ACCA CPA or equivalent is required.
- Minimum of 710 years of progressive experience in accounting and finance with at least 3 years in a senior management or controller role.
Required Experience:
Director
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