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An established industry player is seeking a dynamic financial leader to oversee critical financial operations and provide strategic guidance. This role involves managing investments, debt, and cash flow while ensuring compliance with financial regulations. You will work closely with the executive team to drive financial strategy, assist in budgeting and forecasting, and build strong relationships with stakeholders. If you are passionate about finance and looking to make a significant impact in a collaborative environment, this opportunity is perfect for you.
Oversee departments involved in pricing, investments, debt management, and accounts payable and receivable.
Provide leadership and guidance to finance and accounting teams.
Provide recommendations to the CEO and executive team members.
Assist in the financial forecasting and budget preparation process.
Oversee the preparation of financial statements in a timely manner.
Assist the executive team in long-term financial and business planning.
Build and maintain relationships with external partners, stakeholders, and investors.
Responsible (either directly or through staff) for all cash management, investments, insurance, budgeting, financial reporting, help drive the company's financial strategy, and Finance/Accounting system monitoring & its application.
Coordinate the development of annual operating, capital, and program budgets, and reporting on the same.
Ensure cash flow is aligned with operations by overseeing the organisation's day-to-day accounting, record-keeping, reporting, and internal control activities.
Develop and implement best practices and tools to ensure a well-controlled yet flexible organisation that has strong fiscal management, project coordination, cross-team communication, and workflow.
Comply with national and local financial requirements by studying existing and new laws and taking appropriate action.
Research revenue opportunities and economic trends, analyse internal operations, and identify areas for cost reduction and process improvement.
Perform risk management through analysis of the company’s liabilities and investments, and evaluate and manage capital structure and fundraising initiatives.
Monitor business performance with tracking tools, establish necessary corrective actions, and prepare detailed reports for the management team and the entire company.