Using advanced financial analyses and modelling to simulate economic scenarios and determine the present and future financial condition of the company.
Researching and reporting on factors that influence the company’s performance and analysing and predicting market trends.
Developing financial management strategies to reduce financial risk, providing relevant recommendations to maximise profits and assisting executives in decision making.
Monitoring reporting systems, preparing accurate financial reports and statements, interpreting data, preparing and publishing all financial documents and ensuring adherence to industry regulations.
Managing accounting, budget, cash flow and reviewing cost-reduction strategies
Developing long-term and strategic business plans and organising new funding strategies.
Developing external relationships with auditors, solicitors, bankers and other statutory organisations.
Requirement
- A Diploma in finance/accounting or related field
- 2-3 years experience in account job