- Financial reporting: ensuring accurate and timely financial reporting to various stakeholders. This entails preparing monthly financial statements, regulatory compliance, and communicating monthly financial results. Co-ordinate and review of quarterly balance sheet reconciliations.
- Financial analysis: conducting financial analysis to provide insights into the company's performance, profitability, and efficiency, including assessing the financial impact of business decisions.
- Financial planning and strategy: developing and implementing the company's financial strategies, including budgeting, and quarterly forecasting.
- Relationship management: collaborating with other departments, external auditors and financial institutions. Building and maintaining strong relationships with key stakeholders, in particular the finance team.
- Compliance and governance: ensuring compliance with financial regulations and reviewing and creating internal governance policies, including reviewing, implementing and maintaining effective internal controls.
- Treasury management: overseeing the management of the company's finances, including cash flow, working capital, and investment decisions.
- Support to Finance Director and Group CFO: Support senior members of the finance team when required.
- Financial Due Diligence: analyzing a company's financial records and operations to identify potential risks and opportunities, ultimately helping clients make informed investment decisions
Private Equity for Business expansion: strategic planning, managing risk, compliance, and investor relations while getting private equity investment for business expansion