Provide timely and accurate financial information and analyses including management and financial reporting, budgeting, forecasting and overall control
Lead and manage continuous improvement projects for finance department excellence
Work along General Manager on monthly review of entities financial performance, follow up on queries and ensure closure of action items
Work closely with Director to achieve financial KPIs
Review projects profitability and submit monthly reports to management, explaining delta costs and margin achievements against forecasts
Credit review and release for new customers, release of sales orders and variation orders in SAP
Cash flow management, including cash flow forecast and the review of foreign exchange hedging requirements
REQUIREMENTS
Qualified accountant with at least 5 years post qualifying experience
Good experience and knowledge in SAP systems
Prior experience in Commercial FP&A or business partnering
Self-motivated, dynamic and result oriented individual
Ability to work independently and produce accurate works within tight deadlines
Team player with initiative, willingness to learn and take on responsibilities
Strong collaboration, consensus building, problem resolution and communication skills