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Prepare financial statements, business activity reports, and forecasts
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Supervise staff responsible for financial reporting and budgeting
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Review financial reports and identify opportunities to reduce costs
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Assist management in making sound financial decisions
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Mitigate financial risk using strategies such as hedging
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Plan and prepare income tax documentation
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Perform data analysis to support business decisions
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Develop and manage accounting procedures to improve efficiency
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Evaluate cost-reduction opportunities across all departments
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Oversee debtors and manage cash flow
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Analyse sales performance, including trader and commodity sales
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Ensure compliance with legal, regulatory, and policy requirements
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Lead weekly reporting on company performance
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Manage recruitment, retention, and development of staff