- Ensure accurate and timely preparation of monthly and annual financial statements in accordance with GAAP/IFRS.
- Oversee month-end and year-end closing processes, ensuring financial accuracy and integrity.
- Manage and improve internal financial controls across the Group.
- Ensure compliance with statutory reporting and liaise with external auditors.
- Develop and maintain Group-wide accounting policies and procedures.
- Provide financial analysis and reports to support decision-making across the business.
- Monitor and report on financial performance, highlighting key variances and risks.
- Support the FD and CFO with financial modelling and business case preparation.
- Monitor and manage cash flow, ensuring appropriate funding for operations.
- Develop and implement working capital strategies to optimise cash efficiency.
- Oversee treasury operations.
- Ensure adherence to financial regulations, tax laws, and internal policies.
- Implement and maintain robust financial risk management procedures.
- Drive efficiency improvements within the finance function.
- Support the ongoing development and optimisation of financial systems.
- Assist in finance process automation to improve reporting accuracy and efficiency.
- Develop more junior team members to foster a high-performance culture.
- Provide coaching and support to team members to enhance their skills and capabilities.