Financial Reporting and Analysis:
Oversee the preparation of accurate and timely financial statements reports and analyses.
Analyze financial data to provide insights into the companys financial performance trends
and opportunities for improvement.
Ensure compliance with accounting standards regulatory requirements and internal
controls.
Strategic Financial Planning:
Collaborate with the CFO and executive team to develop and execute strategic financial
plans that align with the companys goals.
Assist in budgeting forecasting and longterm financial planning to support business growth
and expansion.
Evaluate capital expenditure proposals and provide financial recommendations
Risk Management and Compliance:
Monitor financial risks and internal control processes to mitigate potential issues.
Ensure adherence to financial regulations tax laws and compliance requirements.
Participate in audits both internal and external and facilitate necessary actions based on
findings.
Treasury and Cash Management:
Manage cash flow liquidity and investment strategies to optimize financial resources.
Monitor banking relationships negotiate terms and oversee cash management activities.
Implement efficient working capital management practices.
Financial Operations Oversight:
Supervise accounting and finance teams providing guidance mentoring and fostering a
highperformance culture.
Review and approve critical financial transactions reconciliations and journal entries.
Continuously improve financial processes and systems to enhance efficiency and accuracy.
Investor Relations and Communications:
Assist in preparing financial information for investor communications quarterly reports and
board presentations.
Engage with stakeholders to address financial inquiries and provide transparency on
financial matters.
Leadership and Development:
Demonstrate strong leadership skills by mentoring and developing finance team members.
Actively engage in your professional development seeking opportunities to enhance your