Flexible Work, Better Balance
Responsibilities
Work closely with the Managing Director to provide strategic financial oversight.
Lead the Finance team in maintaining accurate records, strong internal controls, and compliance with accounting standards.
Conduct monthly reviews of receivables and enforce effective credit control policies.
Approve electronic banking transactions, including GIRO, PayNow, TT, and FAST.
Manage cash and bank operations, ensuring proper documentation and adherence to procedures.
Prepare cash flow projections, track project costs, and monitor work‑in‑progress reports.
Analyze monthly financial performance across the group and provide insights to management.
Drive the preparation of annual financial statements and budget forecasts.
Consolidate monthly and quarterly group reports, ensuring timely and accurate sub...