Job Summary
Responsible for providing high-level financial leadership, strategic oversight, and governance across all corporate finance, accounting, treasury, and internal control operations. The role ensures robust financial reporting, effective cash-flow management, tax compliance, and executive advisory support to drive sustainable organizational growth and risk mitigation.
Key Responsibilities
Oversee and direct the company''s entire accounting, financial reporting, budgeting, costing, and treasury operations.
Formulate and implement rigorous internal controls, financial policies, and margin analysis frameworks to safeguard company assets.
Manage high-level banking relationships, liquidity, and cash-flow management to ensure optimal capital allocation.
Ensure full statutory and tax compliance across all import, export, and commercial transactions.
Provide strategic executive advisory and financial insights to senior leadership regarding business risks, investments, and profitability trends.
Educational Qualification & Experience Requirements
Education
Minimum of a Master’s or Bachelor’s Degree in Accounting, Finance, Business Administration, or a related field (Professional certifications or advanced training in IFRS, auditing, taxation, or treasury are strongly preferred).
Experience
Minimum of 12 years of progressive experience in finance, accounting, treasury, or financial control, including at least 5 years in a senior finance leadership role.
Required Skills & Competencies
Executive leadership capability with deep technical expertise in financial control, risk judgment, and commercial banking relations.
Required Skill Tags:
Accounting, treasury, cash-flow management, financial control, and tax awareness.
Desired Skill Tags:
Communication, attention to detail, problem-solving, budgeting, costing, and margin analysis.