Finance Manager at The Foodhub by CWC
Confidential
Publiée il y a 1 mois · Expire dans 1 semaine
Description du poste
About the Role
We invite applications from suitably qualified candidates for the position of Finance Manager. This role encompasses both strategic and operational responsibilities, requiring a professional who can provide leadership in financial management while ensuring operational excellence and regulatory compliance.
Strategic Responsibilities
- Provide strategic management of the finance function
- Establish and oversee accounting policies, procedures, and internal controls, including revenue recognition, cash management, expense approval authorities, and depreciation schedules
- Oversee the reporting of company financial activity to tax authorities
- Facilitate organisational accountability and transparency while providing strategic leadership
- Set up a budgeting process and work with business heads to prepare budgets, report results, analyse variance, and initiate corrective actions
- Work with the CEO to analyse organisational operations and identify opportunities for improvement, cost reduction, and systems enhancement
- Provide analysis, insight, and advice on financial performance to the CEO and business unit leaders to support sound decision-making
- Collaborate with the CEO and Human Resources Manager on financial management and oversight of employee benefit and compensation plans
Operational Responsibilities
- Support the development and articulation of financial strategy for the company's business growth plans
- Monitor and improve operational costs and profitability while managing business risks
- Ensure compliance with statutory authority and audit requirements
- Prepare and review annual budgets, monthly forecasts, and operating results
- Identify and research appropriate investment opportunities that maximise returns while complying with liquidity requirements
- Develop forecasting models including P&L, Balance Sheet, and Cashflow statements
- Prepare monthly accounts comprising P&L, cash flow statements, and balance sheets
- Coordinate and prepare annual budgets, including operating and capital expenditure budgets
- Ensure all company assets are monitored and accurately accounted for
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