Financial Planning and Analysis – develop and execute budgets, and forecasts to drive business growth and profitability. Provide financial insights and recommendations to the CEO, board of directors, and other stakeholders
Financial Reporting - Ensure accurate and timely preparation of financial statements for statutory audit. Maintain compliance with accounting principles and IFRS guidelines.
Risk Management - Assess and manage financial risks, credit risks, and operational risks. Implement effective internal controls and procedures to safeguard the company's assets and mitigate financial risks
Treasury & Cash Management - Oversee cash flow planning, banking relationships, and investment strategies. Monitor and manage the company’s liquidity.
Compliance and Governance - Ensure compliance with company law, regulations, Taxation, and corporate governance standards.
Audits
Qualifications
Personality:
You are well organized, focused, and able to meet strict deadlines ;
Your mindset is based on improvement and growth;
You have self-initiative;
You bring a positive attitude;
You have accuracy and attention to detail as part of your key skills
Education:
A Bachelor's and a Master’s degrees in Finance and Accounting
Must have ICAN and /or ACCA
Experience and Skills:
At least 10 years of working in managerial position experience in financial and accounting environments;
Multinational experience;
Awareness of business trends
Familiarity with financial accounting statements
Experience with general ledger functions and the month-end/year-end close process
Hands-on experience with accounting software packages Advanced MS Excel skills including Vlookups and pivot tables
Entrepreneurial thinking and leadership potential;
Independent way of work, analytical skills, intercultural competence, flexibility, networking-oriented.