Responsibilities: Implement and improve both financial control and ERP systems to align management information sound costing models to achieve optimal stock control for raw materials, WIP, and finished goods. Engage management department to ensure daily live stock control and ensure shared stock on hand data is accurate and admin staff to achieve proper financial control process flows through detailed Standard Operating Procedures Procedures (SOP's). Financial control of weekly and monthly payrolls. Budgeting and funding feasibility
both internal and external audit teams. Credit control for both site divisions Understanding of VAT within transactions. Update finance lease for both divisions. Process accounts payable and receivable, including invoicing statements Assist in budgeting and forecasting processes Collaborate with internal departments and external
both internal and external audit teams. Credit control for both site divisions Understanding of VAT within transactions. Update finance lease for both divisions. Process accounts payable and receivable, including invoicing statements Assist in budgeting and forecasting processes Collaborate with internal departments and external
financial planning, budgeting, and forecasting processes Risk and Compliance Ensure accurate and timely reporting Develop and implement robust internal controls and compliance programs Manage relationships with
financial planning, budgeting, and forecasting processes Risk and Compliance Ensure accurate and timely reporting Develop and implement robust internal controls and compliance programs Manage relationships with
of audit engagements. Perform substantive and controls testing. Analyze financial statements and audit
during the investment process and post-investment. Lead the onboarding process for new TA projects, including
during the investment process and post-investment. Lead the onboarding process for new TA projects, including
integrate ESG factors into investment decision-making processes. Stay up-to-date on ESG trends and best practices
preparation of financial statements and reports - Process and record financial transactions - Reconcile bank