Are you a qualified Chartered Accountant with 5 to 8 years experience in the Financial Services industry? This is an exciting opportunity for an individual who is wanting to join one of the most successful organizations in their field.
Responsibilities: Assist as strategic business partner to senior leadership team, advise on long-term business and financial planning. Assist with defining company future strategic direction, offer insight and support for tactical initiatives. Liaise with executives to set obtainable financial and operational goals, monitor progress, and ensure alignment with business strategy. Implement financial strategies, tax optimization, and capital allocation plans to support corporate growth. Manage company's financial operations, accounting, payroll, and risk management departments. Manage financial operations of subsidiary companies and international branches, ensuring consistency in financial practices across locations. Manage company transaction process systems, ensuring reliability, efficiency, and security. Manage acquisition due diligence process, negotiate and structure acquisitions to align with company growth objectives. Ensure timely, accurate, and consistent financial and management reporting. Routinely present financial results and performance reports to the board of directors, providing key insights and recommendations. Manage financial year-end audit process, ensuring compliance with legal, regulatory, and financial reporting requirements. Maintain internal control systems to safeguard company assets and financial data. Ensure compliance with legal and regulatory requirements at both national and international levels. Maintain accurate and compliant financial records that meet requirements of auditors and governmental agencies. Report risk management concerns to the audit committee, ensuring the board is well-informed about potential issues. Maintain relationships with external auditors, ensuring recommendations are addressed effectively. Monitor cash flow and cash balances, ensuring sufficient liquidity to meet operational needs. Manage efforts to secure debt and equity financing. Manage company investments and pension funds, ensuring effective allocation and risk management. Manage formation of detailed budgets for all departments, monitor spending, and ensure alignment with financial objectives. Produce and interpret company reports to shareholders and investors, ensuring transparency and accuracy in financial communications. Ensure company adheres to national and international financial regulations, implementing necessary policies and procedures to meet compliance. Routinely review and update financial policies, ensuring they reflect current best practices and regulatory standards. Manage company payroll, bookkeeping systems, and tax compliance, ensuring accurate and efficient management.
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