Detailed Job Description
- Partner with the CEO to actively manage the Company cash flow through accurate historical reporting and robust forecasting
- Oversee all external and internal reporting ensuring the integrity and timeliness of all reported figures.
- Ensure compliance with International Financial Reporting Standards (IFRS) and other relevant regulatory requirements.
- Use insightful commentaries to help all stakeholders understand the financial performance of the Company and to inform decision making.
- Agree and manage Service Level Agreements with the Business.