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Responsibilities
Analyse credit applications and financial statements to assess creditworthiness and make recommendations on lending decisions.
Oversee preparation and presentation of accurate monthly management accounts, financial statements, and board reports.
Conduct comprehensive financial analysis and modelling to support business cases for capital investments, acquisitions, and new ventures.
Develop annual budgets and rolling financial forecasts, monitoring performance and providing variance analysis with detailed commentary.
Develop and implement financial policies, procedures, and internal controls to safeguard assets and ensure information integrity.
Lead and manage the external audit process, preparing audit files, responding to queries, and ensuring timely sign-off of financial statements.
Ensure full compliance with all tax legislation and regulatory requirements, managing preparation and submission of all tax returns