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14 ans d'experience

Competences

Accounting Tax Compliance (VAT, Corporate Income Tax, Personal Income Tax, Social Security) Financial Reporting (IFRS, PGC-NIRF) Internal Control Team Management Advanced Excel Budgeting & Forecasting Corporate Governance Financial Analysis Project Coordination Business Strategy Management Reporting Audit Financial Planning ERP (general)

Experience

Accounting and Taxation Manager

Deloitte

2024-11 -

Coordinates and reviews projects related to accounting preparation under PGC‑NIRF and IFRS, as well as tax compliance for VAT, corporate and personal income taxes, and social security. Provides technical training on financial statement preparation and reporting. Manages project teams, plans and executes deliverables in collaboration with partners, and supports commercial approaches for national and international clients. Mentors junior staff and oversees their development.

Administration and Finance Coordinator

MAPALUVA GROUP

2024-05 - 2024-10

Developed and implemented a real‑time group reporting mechanism and improved internal control systems. Managed the administration, accounting, and finance team, overseeing daily reimbursements, disbursements, and accounts receivable/payable. Ensured timely compliance with all tax obligations and prepared both individual and group financial statements. Analyzed key performance indicators and led the annual close of accounts while supervising asset management.

Controller & Advisor

FARMAC, SA

2022-09 - 2023-12

Established and operationalized the company's Internal Control Office (GCI) and reviewed all management instruments, including accounting procedures manuals and internal regulations. Advised senior management on financial and administrative matters, reporting directly to the General Manager. Provided guidance for the preparation of the annual reporting package and ensured compliance with regulatory standards.

Director of Administration and Finance

FARMAC, EE & FARMAC, SA

2012-03 - 2023-08

Led all administrative and financial activities, including the preparation and execution of the annual activity plan and budget. Approved treasury statements on a monthly, quarterly, semi‑annual and annual basis, and produced management reports for shareholders. Defined systems and working methods for the finance area, prepared forecasts, and secured necessary financial resources for company operations.

Langues

Portuguese

fluent

English

intermediate

French

intermediate

Rhonga

fluent

Changana

fluent

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