Job Summary
Job Description:
Your duties will include, but are not limited to:
Set up and manage the company’s financial structure, systems, and controls from the ground up
Oversee day‑to‑day financial operations, including cash flow, payments, and receipts
Prepare monthly management accounts and financial reports for leadership and investors
Develop, manage, and refine budgets and financial forecasts in a fast‑changing environment
Monitor cash flow closely to ensure the business can meet short‑ and long‑term obligations
Manage payroll, supplier payments, and expense controls
Ensure accurate bookkeeping and maintenance of the general ledger
Handle all tax compliance, submissions, and payments (VAT, PAYE, income tax, etc.)
Liaise with external accountants, auditors, banks, and advisors
Implement financial policies, procedures, and internal controls as the business scales
Support fundraising activities by preparing financial models, reports, and investor information
Analyse financial performance and provide insights to support strategic decision‑making
Ensure regulatory and statutory compliance across all financial matters
Identify financial risks and put mitigation strategies in place
Continuously improve financial processes to support growth, efficiency, and scalability
Skills & Experience:
Entrepreneurial.
Vibrant
Qualification:
Degree and relevant experience
Minimum of 5 years of experience in a similar role
Manufacturing experience highly advantageous
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