Partner
CurrentPrepare monthly, quarterly, and annual statements (balance sheets and income statements) to identify results, trends, and financial forecasts.Manage and coordinate compliance with local, state, and federal government reporting requirements and tax filings in the different jurisdictions in which we have operations.Collaborate with auditing services to ensure proper compliance with all regulations.Collecting and analysing financial data, which is then used in the preparation of weekly and monthly estimatesPreparing weekly cash flow statements, and controlling expenditure and cash flowCoordinate the preparation of year-end accounts and statutory accountsResponding to financial inquiries by gathering and interpreting dataExamining financial records to check for accuracyManage the preparation and posting of receipts, deposits, purchase orders, invoices, refunds, and other standard bookkeeping tasksManage accounts receivable and accounts payableProvide oversight to Admin in line with petty cash disbursements, replenishment and petty cash count. Review and oversee reimbursements.Coordinate the preparation, tracking, and reconciliation of ledgers, budgets and financial plans.Coordinate the payroll preparation processAnalyze past results, perform variance analysis, identify trends, and make recommendations for improvements.Report on financial projections (e.g. liquidity and cash flow)Support month-end and year-end close processesDevelop mechanisms, policies, and procedures to enhance compliance to the requirements of the finance functions, and accounting standards and regulations.Implement and drive improvements in the core financial processes and reporting for the business.Use technology to streamline and amplify our finance function capabilities.Learn new technologies and transform your learnings into applicable tools to benefit our growth ambitions.Motivate/lead/train/supervise other team members within the finance function.