Scope: Manage day-to-day accounting operations, financial reporting, and regulatory compliance with a team of four, while actively overseeing reconciliations and intercompany transactions. Monitor and optimise cash flow and foreign exchange risks. Develop and execute financial strategies, budgets, and forecasts, ensuring hands-on financial analysis and risk assessment to drive profitability. Implement cost control measures, analyse revenue streams, and ensure accurate tax and regulatory filings. Manage credit risk, debt collection, and insurance policies while optimising financial systems and automation. Provide strategic financial insights, mentor the finance team, and collaborate closely with sales, operations, and product teams.
Minimum Requirements: