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Drive timely, accurate monthly/quarterly/annual close for all African entities in line with the strict reporting deadlines
Prepare group consolidations (IFRS) with multi-currency translation, intercompany eliminations, and minority interests
Produce Group Management Accounts, variance analysis, board packs, presentations, and KPI dashboards
Mentor train and develop team to support growth
Enforcing discipline within area of responsibility
Partner with Operations, Commercial, Supply Chain, and Operations to drive profitability and cash discipline
Maintain group policies (Accounting, Tax, Treasury, Credit, Capex)
Support risk management, insurance, and compliance with anti-bribery/AML regulations
Prepare finance sections of board reports and support strategic initiatives (M&A, expansion, restructuring)
Oversee direct/indirect tax filings and advisory; coordinate with local tax practitioners / providers and coordinate with Group Tax
Manage treasury operations, cash flow forecasting, bank relations, and intercompany funding
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