JOB DESCRIPTION :
Financial Reporting & Analysis :
- Prepare, review, and analyse monthly, quarterly, and annual financial statements.
- Monitor and ensure compliance with financial regulations, accounting standards, and company policies.
- Lead the preparation of budgets and forecasts, ensuring alignment with company goals.
- Provide accurate financial analysis and actionable insights for senior management.
Cash Flow Management :
Oversee cash management and liquidity to ensure sufficient funds are available for operational andstrategic activities.
Monitor working capital and manage cash flow forecasts effectively.Manage accounts receivable and payable processes, ensuring timely collections and payments. Ensure allAR is chased and closed on time monthly globally.
Internal Controls & Audit :
Develop and implement robust internal controls to safeguard company assets and ensure accuracy in financial reporting.Coordinate with external auditors for the annual audit and ensure smooth and timely audits.Recommend improvements in accounting systems, policies, and procedures.Tax Compliance & Planning :
Ensure timely and accurate filing of all tax returns, including corporate income tax, GST / VAT, and other applicable taxes.Provide advice on tax planning strategies to optimize the company's tax position.Financial Strategy & Business Partnering :
Collaborate with senior leadership to provide financial insights that support business strategy and decision-making.Support strategic initiatives, including mergers and acquisitions, capital investments, and expansion projects.Monitor financial performance against key performance indicators (KPIs) and recommend corrective actions as necessary.Team Leadership & Development :
Lead, mentor, and develop the finance team to ensure efficient workflow and continuous professional growth.Promote a culture of collaboration and innovation within the finance department .Requirements :
Bachelor's degree in Finance, Accounting, or a related field.Professional finance certification required (e.g., CPA, ACCA, CFA, or equivalent)Proven background in financial auditing, preferably with a corporate finance department with atleast 3 years of experience