We are currently seeking a skilled professional to assist in all aspects of financial operations, cash flow, and statutory reports. As a key member of our team, you will serve as the primary point of contact for external stakeholders.
Responsibilities:
1. Oversee the preparation of monthly, quarterly, and annual management accounts, providing timely and accurate financial insights.
2. Analyze weekly cash flows and reconcile bank statements to ensure seamless financial transactions.
3. Develop and maintain a comprehensive monthly reporting suite for senior management, presenting key performance indicators and variances.
4. Evaluate budgeting and forecasting processes, identifying areas for improvement and implementing efficient solutions.
5. Collaborate closely with the CEO/CFO to drive strategic decision-making and operational excellence.
6. Pursue innovative approaches to streamline processes, leveraging technology to enhance productivity and efficiency.
The Ideal Candidate:
1. Hold a degree in accounting or a related field, complemented by a recognized accounting qualification.
2. Bring at least three years of experience in a similar role, demonstrating a proven track record of success.