Financial Reporting: Prepare and present timely and accurate monthly, quarterly, and annual financial statements in line with accounting standards and regulatory guidelines.
Budgeting & Forecasting: Lead the annual budgeting process, track performance versus budget, analyze variances, and provide actionable insights.
Internal Controls: Establish and maintain robust internal control systems to protect company assets and ensure accurate financial reporting.
Cash Flow & Liquidity Management: Oversee cash flow, manage working capital, and ensure adequate liquidity to support daily operations and long-term goals.
Audit & Compliance: Facilitate external audits and ensure adherence to tax laws, statutory requirements, and internal policies.
Team Leadership: Supervise and develop the finance team, promoting productivity and professional growth.
Financial Strategy & Advisory: Deliver financial analysis and recommendations to senior leadership to support strategic decision-making.
ERP & Financial Systems: Manage financial systems and tools (e.g., ERP software), ensuring effective and accurate reporting processes.
Risk Management: Identify potential financial risks and implement effective control and mitigation strategies.
Qualifications:
Bachelor’s degree in Accountancy
Certified Public Accountant
At least 5–8 years of experience in financial management, ideally in a Finance Manager or Controller role.
Solid understanding of accounting standards (GAAP, IFRS) and financial compliance requirements.
Proficient in ERP systems and accounting software such as SAP, Oracle, QuickBooks, or Acumatica.
Advanced skills in Microsoft Excel and financial modeling.
Strong analytical, organizational, and problem-solving abilities.
Proven leadership and team management experience.
Excellent communication skills, with the ability to explain financial data to non-finance stakeholders.
High integrity, attention to detail, and a strong sense of confidentiality.