As the successful candidate, you will lead the team and manage the financial viability and sustainability of the organisation through effective cash flow management and appropriate investment strategies.
You will lead the annual budgeting and review process, present the monthly and statutory reporting, oversee and manage multiple properties, and compile tenders and funding submissions. In addition, you will proactively managing risk and governance.
To be successful in this role, you are required to possess:
- Postgraduate qualification in accounting/ finance, business management or a similar field with a current CPA or CA registration
- At least five years of experience in a similar capacity, covering budgeting, analysis, reporting, payroll, cash flow management, investments, property/assets management, risk management and outsourced suppliers.
- Demonstrated experience in attracting, developing and leading a team of professionals.
- Highly developed communication skills (oral and written) complimented with sound analytical skills to present management information to executives, the Board and funding bodies.