Head Of Finance
Current• Financial Management and Reporting: Oversee the tracking of budget and accounting information, including invoicing, billing, collections, payroll, and tax compliance. Prepare comprehensive financial statements and business activity reports, presenting insights and recommendations to top executives.• Cash Flow and Treasury Controls: Manage the company's cash flow, ensuring robust treasury controls are in place. Conduct detailed analyses to support commercial decision-making, including margin analysis, tender analysis, and pricing strategies.• Financial Systems Management: Lead the end-to-end financial processes within the Microsoft 365 Business Central system, ensuring accuracy and efficiency.• Strategic Financial Planning: Research and analyze market trends to provide strategic financial recommendations. Develop and implement strategies to increase revenue and reduce costs, aligning financial goals with the company's priorities.• Stakeholder Partnership: Collaborate with key stakeholders to deliver financial services that support business objectives. Provide expert advice on financial strategies and operational improvements.• Risk Management: Conduct comprehensive risk management analyses to maintain a strong risk framework, safeguarding the company's financial stability.• Team Leadership and Development: Oversee the recruitment, training, mentoring, and professional development of finance team members, fostering a high-performance culture.