Key Responsibilities :
- Develop and implement a comprehensive financial strategy aligned with company objectives
- Provide financial guidance to the CEO and board of directors for strategic decision-making
- Prepare long-term financial forecasts, budgets, and monitor performance against targets
- Produce accurate and timely financial statements including income statements, balance sheets, and cash flow statements
- Communicate financial results effectively to stakeholders, board members, and investors
- Ensure compliance with accounting standards, laws, and regulations
- Identify, assess, and mitigate financial risks impacting profitability and stability
- Establish and maintain strong internal controls to safeguard company assets
- Manage relationships with external auditors and oversee annual audit processes
- Oversee company capital structure including debt and equity financing
- Evaluate and recommend capital investments and financing options
- Optimize working capital and cash flow management
- Supervise financial operations including accounting, budgeting, treasury, and tax functions
- Ensure efficient processing and record-keeping of financial transactions
- Monitor and manage company investments and financial assets
- Collaborate with senior leaders to align financial strategies with operational goals
- Provide actionable insights on cost reduction, revenue enhancement, and operational improvements
- Lead, mentor, and develop the finance team to foster a culture of excellence and continuous improvement
- Stay informed on changes in financial regulations and industry best practices
- Manage relationships with regulatory bodies and external stakeholders
Skills Required
financial strategy , Budgeting, Forecasting, Financial Reporting, Financial Analysis, audit management