Job Description
- Prepare accurate and timely financial statements and reports
- Ensure compliance with laws, regulations, and accounting standards
- Manage audits and liaise with external auditors
- Analyse financial data and provide actionable insights
- Develop and manage annual budgets and financial forecasts
- Track performance against budget and conduct variance analysis
- Recommend improvements and cost controls
- Oversee daily cash flow and liquidity planning
- Identify financial risks and implement mitigation strategies
- Manage investments, debt, and financing activities
- Contribute to long-term financial strategies and planning
- Identify opportunities for cost reduction and revenue growth
- Provide financial input for new projects and business ventures
- Lead and mentor a high-performing finance team
- Foster continuous improvement and professional development
- Set, track, and manage team KPIs
- Ensure compliance with tax laws, financial regulations, and accounting standards
- Stay up to date with industry changes and legislative updates
- Partner with other departments to align financial and operational goals
- Deliver clear, data-driven insights to support business decisions
- Minimum 5 years’ experience in financial management, accounting, or related field
- Tertiary qualification in Finance or Accounting
- Strong knowledge of financial systems, reporting tools, and Syspro
- Deep expertise in financial analysis, budgeting, and forecasting
- Proficiency in Microsoft Office Suite and financial software
- Excellent analytical, organizational, and problem-solving skills
- High attention to detail and ability to meet tight deadlines
- Proven leadership and team management capabilities
- Strong verbal and written communication skills
- Strategic mindset with hands-on execution skills
- Ability to convey complex financial information clearly
- Effective interpersonal and stakeholder engagement skills
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