Your new roleFinancial Reporting and Analysis:* Prepare timely and accurate financial statements, including income statements, balance sheets, and cash flow statements.* Analyse financial data and provide insights to senior management to support strategic decision-making.* Monitor, report and manage the cash flow of the business.* Report and analyse sales margins.* Support the SLT in determining the financial direction of the company in regard to all finance areas. These will include, but are not limited to, acquisitions, taxation, external sources of funds, banking relationships, managing foreign currency, insurance, commercial assessments of business decisions.* Ensure compliance with accounting standards and regulations.* Ensure all financial records are accurate and properly maintained.* Ensure company finance protocols adhere to the ISO 9001:2015 parameters.Budgeting and Forecasting:* Lead the annual budgeting process and develop forecasts to support business planning.* Monitor performance against budget and forecast, identifying variances and recommending corrective actions as necessary.* Implement effective cashflow and demand forecasting schedules and reporting structures.* Review monthly budgets across all department leads and update to conform to accuracy across all relevant reports.* Develop a solid and accurate cashflow forecast and maintain it accordingly.Financial Operations:* Manage day-to-day financial operations...