Tasks
Responsible for monthly closing of financial accounts, cash flow management, financial analysis, local compliance and corporate governance, risk management, statutory and management reporting.
Ensure that the monthly management reporting is carried out efficiently, within the stipulated timeframe and in accordance with set standards.
Plan and coordinate the annual budgeting exercise and quarterly rolling forecast.
Manage FP&A for the company.
Manage the taxation by ensuring that all taxes are paid accurately and on a timely basis.
Create, evaluate and maintain an effective internal control system. Evaluate key business processes and identify improvement areas.
Collaborate across functions to support decision making.
Provide strong support to the Director of Finance and Operations in all ad hoc projects, including the setup of new branch, on-going business development, and information systems implementation
For more detail, salary and company information, use the apply link