Applications Open
Financial Controller Job in Head Office at The Coffee Bean & Tea Leaf
Position Overview
Job Description
Financial Controller Position Overview
Join Pakistan’s favorite coffee and tea brand, The Coffee Bean & Tea Leaf, as a Financial Controller. This pivotal role involves overseeing the financial operations of the company, ensuring compliance with accounting standards, and managing the finance team.
Vacancy Details
- Position: Financial Controller / Sr. Manager Accounts
- Reports to: Head of Finance & Directors
- Department: Finance & Accounts
- Location: Head Office
- Systems: Microsoft Dynamics 365 (ERP), Advanced Excel
Key Responsibilities
- Own the complete month-end and year-end close calendar and ensure the books are closed within the agreed number of working days each month.
- Prepare the monthly Profit & Loss, Balance Sheet, and Cash Flow statement with prior-month, prior-year comparisons.
- Prepare outlet-wise P&L and contribution analysis.
- Review and approve all journal entries—accruals, prepayments, depreciation, etc.
- Ensure all reporting complies with applicable accounting standards (IFRS / IFRS for SMEs) and company policy.
- Train and supervise the accountants and ensure outlet staff on correct Dynamics entry and control procedures, and maintain written SOPs for all key finance processes.
- Control cash, monitor gross margin by outlet, category, and SKU.
- Review daily cash reconciliation for every outlet POS collection against cash deposited against bank credit.
- Review monthly bank reconciliations for all accounts.
- Manage the cash flow forecast and working capital position, monitor liquidity, and advise the Directors on funding requirements.
- Manage banking relationships.
- Control the payables cycle, including three-way matching of purchase order, goods receipt note, and invoice before payment is released.
- Verify sales to ensure bonus calculations are done against approved policy and actual outlet sales before payroll release.
- Keep tracking the approved budgets.
- Manage the external audit process, including controls over cash, inventory, procurement, payroll, and general ledger, and prepare periodically and report responses.
- Maintain the fixed asset register, including schedules and tagging and depreciation.
- Set clear deliverables and deadlines for each team member and review their output.
- Build bench strength and cross-training so that no single process depends on one individual.
Eligibility
- Qualification: CA / ACCA / ICMA (qualified or finalist) in Finance with strong technical accounting grounding.
- Experience: Minimum 5-8 years in accounting and finance, including at least 2-3 years as a Financial Controller, Finance Manager, or equivalent senior role.
Application Procedure
Interested candidates should apply through the official application method provided with this vacancy.
