- Oversee company accounts and financial structure.
- Provide actionable insight to the board of directors to enable timely strategic decisions.
- Provide accurate projections of profits, margins and sales.
- Responsible for the month end management accounting, including multi-currency reporting.
- Develop and improve processes & systems to ensure projections are accurate
- Reporting, Analysis & Performance management.
- Ensure that all financial transactions are properly recorded, filed, and reported.
- Produce monthly and annual reports to identify results, trends, and financial forecasts, and provide insightful commentary to the Board of Directors.
- Manage and report the cash flow in an agile way by tracking transactions and. regularly reviewing internal reports.
- Prepare monthly management accounts and conduct detailed reviews of these accounts to establish opportunities for cost reduction.
- Oversee payroll process, credit policies, credit control and annual audits.
- Seek out methods and practices to minimize financial risk.
- Update and implement financial policies and procedures.
- Preparation of annual statutory accounts.
- Establish and implement financial reporting systems to comply with government regulations and legislation, including collaboration with auditing services.
Requirements
- Bachelor or master Degree in a relevant field from national university
- Minimum 3 years of experience.
- Expert knowledge of Microsoft office (Excel, PowerPoint, etc.).
- Demonstrated strong analytical and communication/team work skills.
- Commitment to the team, willing to produce successful results efficiently, ready for challenges and mastering existing knowledge.
- Develop relationships with clients and serve as an escalation point as needed.