Oversees all financial operations and directs corporate financial planning and structure
Coordinates, analyses and regularly reports the financial performance to Management and Board of Directors (financial performance, projections and other special projects as required)
Prepares short and long-term financial forecasts of financial performance for use with internal management and external parties
Oversees audit and tax functions, coordinates activities with external audit firms and review firms performance
Develop, implement and maintain accounting and administrative policies and procedures for a wide-range of activities including financial accounting and reporting.
Analyses regional and overseas cost of sales report
Ensures contractual, financial and budgetary compliance
Sets up incentives with strategic partners e.g. travel agents
Resolves audit exceptions and installs proactive controls
Requirements
You must have experience with all key areas mentioned. Public company experience is an advantage
Must be a Chartered Accountant or have equivalent qualifications
Minimum 5 years’ experience in an executive management role
Be registered with the PAAB
Experience in developing financial models and conducting analysis using a broad range of qualitative tools and techniques to present to effectively present to management for decisions