Overview
Oversee financial planning and analysis; Manage budgeting and forecasting processes; Ensure compliance with financial regulations; Prepare financial reports for stakeholders; Analyze and improve financial performance; Collaborate with cross-functional teams; Lead treasury and cash management activities.
Responsibilities
- Oversee financial planning and analysis
- Manage budgeting and forecasting processes
- Ensure compliance with financial regulations
- Prepare financial reports for stakeholders
- Analyze and improve financial performance
- Collaborate with cross-functional teams
- Lead treasury and cash management activities
Qualifications
- Educational Qualifications: Bachelor’s degree in Finance, Accounting, or related field; Master’s degree preferred.
- Experience Level: Minimum 2 years of experience in financial management or related roles.
- Skills and Competencies: Proficient in financial analysis, budgeting, and forecasting; strong analytical and decision-making skills.
- Responsibilities and Duties: Oversee financial reporting, manage budgets, ensure compliance with financial regulations.
- Working Conditions: Office environment, potential for remote work; standard business hours with occasional overtime.
- Qualities and Traits: Detail-oriented, strong ethics, excellent communication skills, and leadership abilities.