- Oversee all financial operations, including accounting, budgeting, cash flow, and forecasting.
- Ensure compliance with financial regulations, tax obligations, and company policies.
- Prepare and analyze monthly, quarterly, and annual financial statements for management.
- Monitor company budgets, track variances, and provide recommendations for cost control.
- Supervise finance and accounting staff, ensuring accuracy and timeliness of reports.
- Manage relationships with external auditors, banks, and regulatory authorities.
- Develop and maintain internal control systems to safeguard company assets.
- Coordinate with department heads to review financial performance and align with business strategies.
- Lead financial planning processes and support management in strategic decision-making.
- Review and approve payroll, expense claims, and vendor payments in line with policy.
- Provide financial risk assessment and implement measures to mitigate exposure.
- Optimize cash management, including receivables, payables, and working capital.
- Prepare detailed financial reports for the Board of Directors and stakeholders.
- Identify opportunities for efficiency improvement through financial systems and technology.
Job Type: Full-time
Application Question(s):
- Are you available to join immediately ?
Education:
- S1 (Preferred)
Experience:
- Head of Accounting: 5 years (Preferred)
Language:
- English (Preferred)