Position Overview
Key Responsibilities Oversee day-to-day accounting and finance operations. Prepare and review monthly management accounts and financial reports. Lead budgeting, forecasting, financial planning, and performance analysis processes. Manage statutory financial reporting in accordance with IFRS. Oversee consolidation reporting and support external audit processes. Ensure compliance with VAT, Corporate Income Tax, PAYE, Transfer Pricing, and other regulatory requirements. Liaise with external auditors, tax advisors, banks, and other service providers. Manage treasury activities, including cash flow, liquidity planning, and foreign exchange transactions. Maintain and enhance internal controls, governance processes, and compliance frameworks. Oversee outsourced accounting service providers. Partner with business leaders by providing financial insights and support on operational and strategic initiatives. Identify opportunities for process improvement, automation, and operational efficiencies. ...