Job Description
- Provide financial expertise within the organization, ensuring complete adherence to local legislation and implementation of Group accounting policies and procedures
- Develop the company's financial and IS objectives, and ensure that they are met across the organization, and compliant with company regulations and accounting standards
- Ensure that sufficient funds are available to meet ongoing operational and capital investment requirements
- Cash management through adequate controls on income and expenditure
- Evaluate accounting systems, procedures and practices and make appropriate recommendations for modifications and improvements
- Prepare and analyze accounting records, financial statements or other management reports
- Produce daily and monthly cash flows comparing budgeted costs to actual costs as well as predicting future revenues and financial commitments to plan ahead and prepare accordingly
- Develop, maintain and analyze cost accounting and other financial reports that will lead to recommendations which will in turn help modify and improve business operations, revenues and expenses
- Ensure appropriate internal controls are in place and working effectively and improve financial systems, processes that minimize financial risk
- Analyzing annual targets by implementing strategies, monitoring trends and results
- Liaise with internal and external auditors and complete statutory accounts
- Coordinate and direct the preparation of the budget and financial forecasts and report variances
- Managing all of the financial operations