- Collating, preparing and interpreting reports, budgets, accounts, financial statements
- Undertaking strategic analysis
- Producing long-term business plans
- Undertaking research into pricing, competitors and factors affecting performance
- Controlling income, cash flow and expenditure. Managing budgets
- Developing financial systems/models. Carrying out risk assessments
Requirements
- +7 years of related experience, Professional accounting and financial certification
- Experience working within a matrix reporting, leadership skills
- Shall be proficient in ICDL, Ability to maintain team player attitude
- Ability to cost accounting, Statistical Analysis, Financial planning, Budgeting.