Posted By
Posted in
Banking & Finance
Job Code
1459530
- Accounting and Reporting: Ensure accurate and statutory accounting at both unit and head office levels, including P&L, balance sheet and compliance with IFRS standards. Develop and maintain long-term P&L forecasts to support strategic planning and decision-making.
- Financial Consolidation: Oversee the consolidation of financial statements across multiple units, ensuring compliance with IFRS and alignment with group policies. Implement and manage processes for accurate and timely consolidation of financial data.
- Financial Strategy Development: Design and recommend robust financial strategies that align with overall group strategy, including considerations for sales, operations and other key business areas.
- Financial Control: Establish and maintain effective financial control systems at the unit level. Develop a robust financial control framework to monitor and minimize costs, and review budgets and financial forecasts to ensure alignment with strategic goals and long-term objectives.
- Cost & Management Accounting: Prepare detailed costing reports and financial records for cost management and compliance purposes. Ensure accurate tracking of cost allocations and adherence to accounting standards.
Treasury:
- Fund Management: Oversee the arrangement and management of funds, including handling cash inflows and outflows. Optimize working capital, manage liquidity and ensure adequate funding to meet operational and strategic needs.
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Posted By
Posted in
Banking & Finance
Job Code
1459530