Overall in charge of the whole financial aspects of the Group of companies and subsidiaries/ associated companies including but not limited to budgeting, cash flow planning, financial projections and monitoring financial covenants.
Ensure a budget is prepared before the beginning of every year and manage the companyís operation by ensuring the budgetary controls of each department are implemented by Quarterly review of actual against budget and variance analysis.
Set target and ensure compliance of department budgets by instituting own internal checks and control systems.
Generate analytical and informative management reports for quarterly and annual management reviews to assist in management decision making process.
Provide input to management in the group structure and asset management decisions to ensure efficient tax planning issues are properly addressed.
To process and ensure proper invoicing on timely basis especially for new projects.
To liaise with customers /suppliers on invoices and payment.
Ensure all financial reports are according to generally accepted accounting principles and prevailing applicable regulations.
To carry out all corporate secretary duties and liaise with the respective appointed company secretary.
Perform and ad-hoc duties audit and tax schedules.
ACCA or Degree equivalent
At least 2 years related experience in a similar capacity
Possess a pro-active work attitude with good communication skills
A team player
FOS designs, builds, owns and operates a fleet of Fast Multipurpose Supply Vessels (FMSV) that offer safe, speedy and economic transportation of passengers, passengers and material in addition to ...