- Financial planning and budgeting: Developing and managing financial plans and budgets to ensure that the organization's financial resources are used effectively.
- Financial reporting: Preparing and analyzing financial reports, such as income statements, balance sheets, and cash flow statements.
- Financial analysis: Analyzing financial data to identify trends, assess risks, and make informed decisions.
- Cost management: Developing and implementing cost-saving measures to improve the organization's profitability.
- Risk management: Identifying and mitigating financial risks, such as market risk, credit risk, and operational risk.
- Tax compliance: Ensuring that the organization complies with all relevant tax laws and regulations.
- Financial forecasting: Predicting future financial performance and developing strategies to achieve desired outcomes.
- Cash flow management: Ensuring that the organization has sufficient cash on hand to meet its obligations.
- Financial systems implementation: Selecting, implementing, and maintaining financial software systems.
- Team management: Leading and managing a team of finance professionals.
Requirements:
- At least 5 years of relevant Finance | Accounting experience including consolidation
- Immediate starter is preferred
Interested applicants for the above advertised position(s), please kindly email an updated copy of your resume to: [email protected]
EA License No.: 13C6305
Reg. No.: R1981808
For candidate who applied for the advertised position is deemed to have consented to us that we may collect, use or disclose your personal information for purpose in connection with the services provided by us.