Finance Manager (Pharmaceutical Company) – Johannesburg, Gauteng 17 views
Job Overview
Requirements:
- CA (SA) or CIMA
- Post articles experience – min 5-10 years outside of auditing
- Proven experience as a Financial Manager with experience in financial management, analysis, and reporting
- Strong understanding of financial principles, including financial planning, budgeting, forecasting, and cost analysis
- Proficiency in financial modelling and data analysis tools (e.g., Excel, ERP systems) with the ability to interpret complex data sets and generate actionable insights
- Excellent communication and interpersonal skills, with the ability to effectively collaborate with cross-functional teams and present financial information to senior management
- Demonstrated leadership and managerial skills, with a track record of leading and developing high-performing teams
- Strategic thinker with the ability to translate financial analysis into actionable strategies and drive business results
- Detail-oriented with a strong commitment to accuracy, integrity, and compliance
Knowledge and Skills:
- Strong understanding of the medical device sales industry, including market dynamics and customer needs
- Excellent leadership, team management, and coaching skills
- Effective communication and relationship-building abilities
- Strong analytical and problem-solving skills with attention to detail
- Proficiency in using CRM systems and sales reporting tools
- Advanced Excel
Key Competencies:
- Leadership and team motivation
- Strategic thinking and planning
- Customer-focused mind-set with excellent interpersonal skills
- Strong organisational skills and ability to manage multiple priorities
- Results-oriented with a drive for continuous improvement
Behavioural Qualities:
- Excellent analytical and strategic thinking skills
- Proficient in financial modelling and forecasting
- Drive, sense of urgency
- Excellent attention to detail and organisational skills
- Effective communication and interpersonal skills
- Ability to work independently and as part of a team
The main purpose of this position:
- As a Financial Manager with a specialised operational focus in the pharmaceutical industry, you will play a critical role in ensuring the financial health and operational efficiency of our organisation
- You will be responsible for overseeing and optimising financial processes, cash flow management, analysing operational data, and providing strategic insights to drive business performance and profitability
- You will oversee the financial activities within the organisation, ensuring sound financial planning, reporting, and analysis
- The Financial Manager will collaborate with cross-functional teams to support strategic decision-making, drive financial performance, and ensure compliance with industry regulations
Duties & Responsibilities:
Financial Planning and Analysis:
- Oversee the preparation of monthly management reports including variance analysis to assess the company’s financial health and to support strategic decision-making
- Analyse financial performance, identify trends, and provide actionable recommendations to improve operational efficiency and profitability
- Conduct variance analysis and prepare regular reports for senior management to track key financial metrics and performance against targets and budgets
- Prepare financial forecasts and annual budgets
Operational Efficiency:
- Collaborate with cross-functional teams, including Supply Chain, Sales and operation, to identify opportunities for cost optimisation and process improvement
- Analyse operational data and performance metrics to identify areas of inefficiency and develop strategies to streamline and automate processes and reduce costs
- Implement best practices and continuous improvement initiatives to enhance operational efficiency and maximize resource utilisation
Strategic Financial Management:
- Collaborate with senior management to provide financial insights and support for strategic planning
- Evaluate investment opportunities and assess their financial impact on the organisation
- Participate in the development and execution of financial strategies to enhance profitability and shareholder value
Cash Flow Management:
- Monitor and manage cash flow, liquidity, and working capital to support operational needs
- Implement effective cash management strategies and optimize the use of financial resources
Annual Financial Audits:
- Manage annual financial audits for all companies and liaising with auditors
- Collation of all supporting documents for Annual financial statements
Team Leadership and Development:
- Lead and mentor a team of financial analysts, providing guidance, feedback, and professional development opportunities to foster growth and enhance performance
- Foster a collaborative and supportive work environment that encourages teamwork, innovation, and continuous learning