Play a pivotal role in improving internal controls and financial processes for continual improvement.
Streamline processes through adoption of suitable technologies to enable timely, quick and accurate reporting for better decision making.
Build financial models for the analysis of business projects for strategic planning, capital budgeting decision and allocation of corporate resources.
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Provide strategic financial insights and recommendations to the Head of Finance through analysis of financial performance, project progress, and competitor activity to support informed decision-making.
Monitor and analyse key performance indicators (KPIs) and financial metrics, proactively identifying risks, opportunities, and performance gaps.
Develop, implement, and enhance FP&A tools, dashboards, and reporting frameworks to improve data accuracy, visibility, and timeliness of insights.
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Responsible for overseeing the full spectrum of accounting and finance functions, ensuring timely monthly closing, accurate financial reporting, effective cash flow management, and quarterly group consolidation. The role also leads, mentors, and develops a team of 6 finance staff while driving continuous process improvement and automation initiatives.
Cash Flow Management: Oversee cash flow projections, manage working capital, and ensure adequate funds are available for ongoing operations and upcoming projects.
Financial Compliance: Ensure compliance with accounting standards, local regulations, and tax laws. Coordinate with external auditors for annual audits and reviews.
Risk Management: Identify and assess financial risks, and develop strategies to mitigate them, minimizing potential impacts on the company's financial performance.
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