This role involves a broad range of financial responsibilities, including management and financial accounting, financial reporting, analysis, planning, statutory accounting, and treasury functions.
Key duties include overseeing day-to-day financial operations, ensuring accurate invoicing, payroll processing, and internal controls. The role also entails preparing and analyzing monthly financial results, providing financial strategy recommendations, and leading financial forecasting and planning. Additionally, responsibilities include managing the company's annual report, statutory accounts, and liaising with auditors, ensuring compliance with IFRS and tax regulations. Treasury duties focus on cash flow management, risk mitigation, and optimizing working capital. The role also emphasizes continuous process improvement, advising on financial risks, and maintaining external relationships with key stakeholders.
If this role sounds of an interest to you, please apply or reach out to me directly