Develop and implement financial strategies to support the company's growth and profitability goals
Lead the treasury function, managing cash flow and liquidity across multiple jurisdictions, and developing and implementing risk management strategies
Develop and maintain relationships with investors and other external stakeholders, including banks and financial institutions across multiple jurisdictions
Manage corporate financing, refinancing, and manage the relations with banks and other lending institutions
Oversee the audit preparation
Design and implement risk management policies, including financial, credit, and exchange risks
Ensure compliance with tax laws and regulations across multiple jurisdictions, and manage the tax function
Overseeing the reconciliation of income and expense reports
Preparing and analyzing financial statements and profit and loss reports
Designing financial models that will benefit different operating initiatives
Preparation of various accounting reports, financial statements, budgets, cost analyses, rate studies projections and interpreting financial information to managerial staff while recommending further courses of action.
Prepare and review detailed financial analysis to illustrate key business drivers, and performance indicators, identify engagement risk and determine the appropriate financial strategies to get desired results.
Manage and oversee operations of the finance department to meet set goals and objectives.
Developing and effectively implementing internal systems, business processes, SOPs, and organizational policies and procedures that ensure efficient and effective operations in finance.
Manage and coach an accounting team that can exhibit a great depth of the organisation’s values and culture and show continuous growth in personal, departmental and organizational development.
Up-to-date knowledge of industry standards for corporate finance administration, budget preparation and management, financial reporting, forecasting and financial analysis.
Display in-depth understanding and application of leading practices in governance concerning finance in the workplace.
Job Requirements
MBA/MSc in Finance
6+ years experience as a Financial Manager with at least 2 years senior management level experience in the manufacturing/dairy industry
Must have ACCA/ACA/CFA
Deep knowledge and use of relevant finance and data reporting tools/software
A solid understanding of financial statistics and accounting principles
Working knowledge of all statutory legislation and regulations
Advanced proficiency in the use of MS Excel and other MS-word and G-suite tools