Job Description
• Responsible for providing financial advice and support to clients and colleagues to enable them to make sound business decisions.
• Directs the treasurer in activities such as custodian of funds, securities, and assets of the organization.
• Appraises the organization's financial position and issues periodic reports on organization's financial stability, liquidity, and growth.
• Directs and coordinates the establishment of budget programs.
• Coordinates tax reporting programs and investor relations activities.
• Analyzes, consolidates, and directs all cost accounting procedures together with other statistical and routine reports.
• Evaluates and recommends business partnering opportunities.
• Establishes and maintains contacts with stockholders, financial institutions, and the investment community.
• Collating, preparing and interpreting reports, budgets, accounts, commentaries and financial statements
• Controlling income, cash flow and expenditure
• Managing budgets
• Developing and managing financial systems/models
• Supervising staff
• Liaising with managerial staff and other colleagues
• Reporting to Finance and Accounting Manager