Oversee daily financial and accounting operations Prepare monthly financial reports and provide ad hoc analysis Produce and review financial statements Perform monthly and quarterly reconciliations Manage accounts payable and accounts receivable processes Develop annual budgets and financial forecasts Monitor liquidity, optimise free cash flow, and advise on financial risks Provide financial insights and recommendations Support recruitment, training, and development of accounting and finance staff Evaluate existing financial processes and implement improvements Maintain strong internal financial controls and ensure compliance Assist with tax optimisation, audits, filings, and local tax compliance Collaborate with operational leaders to evaluate performance Support financial integration of newly acquired companies Deploy monthly reporting cadence for acquired companies Assist with purchase price allocations and preparation of opening balance sheets Analyse financial and operational risks during acquisition