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ØBachelor’s degree in Accounting, Finance, or similar is essential.
ØCertified Management Accountant (CIMA) is preferred.
ØExtensive experience as a management accountant in a related business.
ØExtensive knowledge of accounting standards and financial regulations.
ØExtensive working knowledge of Sage Evolution is essential.
ØExtensive years of experience in a manufacturing or production environment.
ØAdvanced proficiency in Microsoft Office Suite (Excel, Word, PowerPoint, etc.)
ØIn depth understanding and experience with Power BI will be a distinct advantage.
ØStrong mathematical and analytical aptitude.
ØExceptional attention to detail.
ØSuperb organizational, and problem-solving skills.
ØExcellent collaboration and communication abilities.
Key Result Areas:
ØManagement of the finance team.
ØResponsibility for the day-to-day financial functioning of companies, including maintenance of the respective general ledgers.
ØEnsuring Stock Control measures are in place and adhered to.
ØCompletion of statutory reports for VAT, income tax and PAYE.
ØAssist with and involvement in the interim and annual audit process.
ØPrepare accurate financial and regulatory reports, Income Statements, Balance Sheets and Cash Flows as required by management, law and the Board of Directors.
ØDevelop and analyze information to assess the current and future financial status by way of the budgetary and forecasting procedures.
ØSafe custody and control of assets, financial records, load collateral and securities.
ØEvaluate data pertaining to cost in order to plan budgets.
ØEvaluate financial reporting methods, accounting and collection procedures and treasury activities.
ØTreasury function and review of collection reports to determine the status of collections and the amounts of outstanding debtors balances also predict future costs trends.
ØManage the cash flow for an organization by supervising balance sheets, income statements and the cost and revenue reports.
ØProvide support, reports and business solutions to business units by analyzing actual current performance vs budget & prior year vs budget.
ØBudgetary decisions and planning.
ØManage the quarterly forecasting processes.
ØEnsure legal regulations are adhered to.
ØPrepare ad-hoc analyses and reports as required.
ØFixed asset management and control of working capital.
ØConducting reviews and evaluations for cost-reduction opportunities.
ØPreparation of annual financial statements and coordinating the audit process by liaising with auditors.
ØLiaising with bank and other financial institutes.
To apply for this job please visit www.executiveplacements.com.