\- Develop and manage budgets, forecasts, and financial plans.
\- Analyse financial data to identify trends, risks, and opportunities.
\- Provide insights and recommendations to support strategic decision\-making.
\- Prepare and present accurate financial reports, including income statements, balance sheets, and cash flow statements.
\- Ensure compliance with accounting standards and regulatory requirements.
\- Monitor and report on key financial metrics and KPIs.
\- Oversee cash flow planning and ensure liquidity for operational needs.
\- Manage accounts receivable and payable to optimize working capital.
\- Monitor banking activities and maintain relationships with financial institutions.
\- Identify cost\-saving opportunities and implement cost\-control measures.
\- Analyze operational expenses and recommend efficiency improvements.
\- Conduct variance analysis to compare actual performance against budgets.
\- Assess financial risks and develop strategies to mitigate them.
\- Ensure compliance with internal controls, policies, and procedures.
\- Manage insurance coverage and other risk management activities.
\- Collaborate with senior management to align financial strategies with organizational goals.
\- Provide financial guidance for business expansion, investments, and mergers/acquisitions.
\- Evaluate the financial impact of new projects or initiatives.
\- Lead and mentor the finance team, including accountants, analysts, and other staff.
\- Delegate tasks and ensure timely completion of financial activities.
\- Foster a culture of accountability and continuous improvement.
\- Ensure timely and accurate filing of tax returns and compliance with tax regulations.
\- Stay updated on changes in financial laws and regulations.
\- Liaise with external auditors and tax advisors as needed.
\- Communicate financial performance and insights to stakeholders, including executives, board members, and investors.
\- Address financial inquiries and provide clarity on financial matters.
\- Oversee the implementation and maintenance of financial systems and software.
\- Leverage technology to streamline financial processes and improve accuracy.
\- Evaluate investment opportunities and manage the organization’s investment portfolio.
\- Monitor returns on investments and adjust strategies as needed.
\- Coordinate internal and external audits.
\- Ensure robust internal controls are in place to safeguard assets and prevent fraud.
Job Type: Full\-time
Work Location: In person