Oversee Accounting, Treasury, Tax, Compliance, and FP&A to ensure accurate financials, strong liquidity, efficient funding, and timely reporting.
Drive cashflow forecasting, liquidity planning, payment operations, trade finance, working capital optimization, and banking relationships.
Oversee Accounting & Reporting: Manage month-end close, financial reporting, audits, and controls across AR, AP, inventory, fixed assets, and payroll coordination.
Ensure Tax & Regulatory Compliance: Handle corporate tax, trade taxes, LMW requirements, and corporate secretarial matters while coordinating with advisors and authorities.
Lead budgeting, forecasting, and investment analysis, while acting as a key finance partner to operations and Group Treasury.
Job Requirements
Degree in Accounting, Finance, or a related discipline, with added advantage for candidates holding recognized professional certifications such as CPA, ACCA, MIA or Chartered Accountant.
Minimum 10 years of finance experience with strong exposure to both treasury and accounting functions, including several years in a leadership capacity managing teams and banking relationships; background in manufacturing or trading environments and familiarity with local tax and LMW frameworks is beneficial.
Strong capability in financial modelling, cashflow management, and use of ERP and treasury systems, a solid grasp of corporate taxation, transfer pricing, and trade-related taxes.