Job Description
Your confident management and leadership skills will provide independent input and judgment among other strong personalities at a senior level. This includes maintaining an adequate control environment, ensuring accurate, materially correct internal and external financial reporting, and supporting the growth and development of the business through provision of relevant data, analysis, and other inputs.
- The management and supervision of two team members
- To manage accounts payable and accounts receivable, and banking relationships
- Ensuring the delivery of accurate and timely financial reporting including book closing activities within both the local accounting system and group
- Coordinating month-end close, including P&L, cash flow statements, Balance Sheets and KPI reports.
- Ensuring group and local site policies and procedures are adhered to
- Ensuring adequate, documented processes and controls are in place over financial transactions and reporting
- To collaborate with auditing services to ensure proper compliance with all regulations
- To lead monthly review with business to identify results and trends including commentary
- To provide relevant & timely ad hoc financial information
- The management of annual budgeting and forecasting submissions.
- To partner with other business functions with information and analysis to make informed business decisions