Oversight of the full spectrum of finance duties, including banking & treasury; accounting & reporting; financial planning & analysis; cost accounting; cash flow management; and assisting in business decision-making for all the operating companies within the Group.
Implement and maintain accounting systems, internal controls, and working procedures across all companies.
Liaise with external auditors, tax agents, bankers, and other statutory bodies.
Initiate, direct, and coordinate the preparation of budgets and quarterly forecasts.
Ensure timely and accurate completion and compliance of all statutory reporting to uphold good corporate governance, on a quarterly basis.
Evaluate the organization's financial and business performance, providing analysis, interpretation, and recommendations to management monthly.
Conduct periodic analysis of all costs and manage budgets related to cost issues, providing variance analysis.
Develop and maintain accurate costing systems, ensuring all costs are identified and recorded correctly.
Participate actively in costing new products.
Provide monthly variance analysis reports comparing actual performance against budgets.
Manage payables, receivables, and cash balances effectively.
Ensure effective credit control management.
Job Requirements
Minimum bachelor's degree or professional qualification in ACCA, CIMA, or equivalent.
At least 5 years of experience in credit management and accounting.
Strong analytical, planning, and problem-solving skills, with sound financial judgment.
Leadership qualities with good communication and interpersonal skills, capable of leading a team.
Proactive attitude and willingness to work long hours.
Ability to work independently and be self-motivated.