The common responsibilities for this position include managing day-to-day finance operations such as accounts payables, accounts receivable, and general ledger; preparing monthly management reporting and annual financial statements; preparing annual budgets and monthly forecasts; analyzing financial data to provide business insights and recommendations; ensuring accurate and timely financial reporting in compliance with IFRS; managing the annual audit process and serving as the main point of contact with external auditors; preparing cash flow forecasts and ensuring proper cash flow planning; leading system implementation projects; managing tax-related matters; and overseeing financial operations including budgeting, forecasting, and cash flow management. Additionally, responsibilities include conducting financial analyses, collaborating with cross-functional teams, and preparing regulatory reports.
The percentages next to each skill reflect the sector’s demands in these respective skills. E.g., 30% means this skill has been listed in 30% of all the job postings in this sector.
The skills distribution tells you what specific skill sets are in demand. E.g., Skills with a distribution of “More than 50%” means that these skills are wanted in more than 50% of the job postings.
Job classifications that have advertised a position
Academic degree required as indicated by all job postings
Job subclassifications that have advertised a position