Masters or Bachelors degree in Treasury Banking Finance Account or related field. Relevant certification (Chartered Accountant ) is a must.
Industry Experience : Holding companies
Job Purpose:
Financial Planning & Strategy
Develop and oversee long-term financial goals and strategies.
Forecast future financial performance based on current trends and data.
Budgeting & Cost Management
Lead the budgeting process across departments.
Monitor spending and ensure adherence to financial plans.
Financial Reporting
Prepare accurate financial statements and reports for senior management stakeholders and regulatory bodies.
Ensure compliance with accounting standards and regulations (e.g. IFRS GAAP).
Risk Management
Identify and mitigate financial risks.
Ensure proper insurance coverage investment strategy and risk controls.
Cash Flow Management
Oversee cash flow to maintain liquidity and support operational needs.
Manage working capital effectively.
Compliance & Controls
Ensure all financial practices comply with laws regulations and internal policies.
Coordinate audits (internal and external).
Leadership & Team Management
Lead the finance team including accountants controllers and analysts.
Drive team performance and professional development.
Stakeholder Communication
Act as the financial spokesperson for the company with investors auditors and the board of directors.
Strategic Decision Support
Provide financial insight to support key business decisions and growth strategies.
Participate in mergers acquisitions or expansion plans.
ERP & Systems Implementations
Implement and maintain financial systems and tools to increase efficiency and accuracy.
Apply now!
Job Title - Finance Controller Qualifications : Masters or Bachelors degree in Treasury Banking Finance Account or related field.Relevant certification (Chartered Accountant ) is a must. Industry Experience : Holding companies Job Purpose: Financial Planning & StrategyDevelop and oversee long-term f...
Job Title - Finance Controller
Qualifications :
Masters or Bachelors degree in Treasury Banking Finance Account or related field. Relevant certification (Chartered Accountant ) is a must.
Industry Experience : Holding companies
Job Purpose:
Financial Planning & Strategy
Develop and oversee long-term financial goals and strategies.
Forecast future financial performance based on current trends and data.
Budgeting & Cost Management
Lead the budgeting process across departments.
Monitor spending and ensure adherence to financial plans.
Financial Reporting
Prepare accurate financial statements and reports for senior management stakeholders and regulatory bodies.
Ensure compliance with accounting standards and regulations (e.g. IFRS GAAP).
Risk Management
Identify and mitigate financial risks.
Ensure proper insurance coverage investment strategy and risk controls.
Cash Flow Management
Oversee cash flow to maintain liquidity and support operational needs.
Manage working capital effectively.
Compliance & Controls
Ensure all financial practices comply with laws regulations and internal policies.
Coordinate audits (internal and external).
Leadership & Team Management
Lead the finance team including accountants controllers and analysts.
Drive team performance and professional development.
Stakeholder Communication
Act as the financial spokesperson for the company with investors auditors and the board of directors.
Strategic Decision Support
Provide financial insight to support key business decisions and growth strategies.
Participate in mergers acquisitions or expansion plans.
ERP & Systems Implementations
Implement and maintain financial systems and tools to increase efficiency and accuracy.