Revenue:
- Ensure Revenue Recognition is fully managed through the system
- Compliance with SOX on Revenue Recognition
- Intercompany balances are aligned and recognized correctly
Cash Flow Forecasting:
- Implementing an accurate cash flow forecasting process across the Locaria group
- Working closely with the wider Locaria Finance Team to ensure understanding of key cash flow movements
- Working with the Stagwell Treasury Team to provide bi weekly submissions of CF Forecast
Audit & Statutory Reporting:
- Oversee external audits and statutory reporting across all entities
- Maintain a strong financial control environment
- Act as escalation point for technical accounting and statutory reporting issues
Leadership & Team Management:
- Lead and develop a high-performing finance team across Revenue, and Tax functions
- Business partnering with commercial teams to support pricing, margin analysis, profitability and decision support
- Ensure that the day to day financial operations runs smoothly and efficiently