The Chief Finance Officer (CFO) will be responsible for providing strategic financial leadership ensuring the integrity of financial reporting and driving the companys fiscal performance in alignment with its business objectives. The role requires a seasoned finance professional with a strong background in accounting strategic planning and risk management to support sustainable growth and operational efficiency across all business units of Mizar Eridanus Limited.
Key Responsibilities.
Capital Raising & Investment Strategy
Lead the development and execution of capital-raising initiatives including equity debt and alternative financing instruments.
Build and maintain relationships with investors financial institutions private equity firms and development finance institutions (DFIs).
Structure and negotiate financing deals ensuring alignment with the Groups growth and risk appetite.
Develop investor materials financial models and data rooms for fundraising and due diligence processes.
Oversee investment analysis feasibility studies and project financing structures.
Financial Strategy & Planning
Drive the Groups financial planning budgeting and forecasting processes to support strategic objectives.
Provide insights and recommendations to improve profitability liquidity and capital efficiency.
Lead scenario modeling and sensitivity analyses for major projects and business units.
Ensure robust risk management compliance and internal control systems across subsidiaries.
Requirements
Treasury & Working Capital Management
Manage the Groups treasury operations including cash flow management foreign exchange and liquidity optimization.
Develop strategies for effective working capital utilization across the Groups supply chain and subsidiaries.
Evaluate and manage banking relationships to secure favorable financing terms.
Governance Reporting & Compliance
Oversee preparation of Group consolidated financial statements and reports in compliance with IFRS and regulatory standards.
Liaise with auditors tax authorities and regulators to ensure transparency and accountability.
Support the Management in financial reporting audit committee meetings and strategic decision-making.
Ensure tax compliance regulatory reporting and alignment with corporate governance standards.
Present accurate and timely reports to the management investors and key stakeholders.
Communication & Stakeholder Engagement
Serve as the financial spokesperson for the Group articulating strategy and performance to internal and external stakeholders.
Manage investor relations ensuring transparent and consistent communication with investors partners and analysts.
Facilitate effective cross-functional communication between finance operations and executive teams.
Present financial and strategic updates clearly to the Board executive management and key partners
Required Skills:
Treasury & Working Capital Management Manage the Groups treasury operations including cash flow management foreign exchange and liquidity optimization. Develop strategies for effective working capital utilization across the Groups supply chain and subsidiaries. Evaluate and manage banking relationships to secure favorable financing terms. Governance Reporting & Compliance Oversee preparation of Group consolidated financial statements and reports in compliance with IFRS and regulatory standards. Liaise with auditors tax authorities and regulators to ensure transparency and accountability. Support the Management in financial reporting audit committee meetings and strategic decision-making. Ensure tax compliance regulatory reporting and alignment with corporate governance standards. Present accurate and timely reports to the management investors and key stakeholders. Communication & Stakeholder Engagement Serve as the financial spokesperson for the Group articulating strategy and performance to internal and external stakeholders. Manage investor relations ensuring transparent and consistent communication with investors partners and analysts. Facilitate effective cross-functional communication between finance operations and executive teams. Present financial and strategic updates clearly to the Board executive management and key partners
Required Education:
Bachelors degree in Accounting or FinanceMSc or MBA in Finance or Accounting is an added advantage.
The Chief Finance Officer (CFO) will be responsible for providing strategic financial leadership ensuring the integrity of financial reporting and driving the companys fiscal performance in alignment with its business objectives. The role requires a seasoned finance professional with a strong backgr...
The Chief Finance Officer (CFO) will be responsible for providing strategic financial leadership ensuring the integrity of financial reporting and driving the companys fiscal performance in alignment with its business objectives. The role requires a seasoned finance professional with a strong background in accounting strategic planning and risk management to support sustainable growth and operational efficiency across all business units of Mizar Eridanus Limited.
Key Responsibilities.
Capital Raising & Investment Strategy
Lead the development and execution of capital-raising initiatives including equity debt and alternative financing instruments.
Build and maintain relationships with investors financial institutions private equity firms and development finance institutions (DFIs).
Structure and negotiate financing deals ensuring alignment with the Groups growth and risk appetite.
Develop investor materials financial models and data rooms for fundraising and due diligence processes.
Oversee investment analysis feasibility studies and project financing structures.
Financial Strategy & Planning
Drive the Groups financial planning budgeting and forecasting processes to support strategic objectives.
Provide insights and recommendations to improve profitability liquidity and capital efficiency.
Lead scenario modeling and sensitivity analyses for major projects and business units.
Ensure robust risk management compliance and internal control systems across subsidiaries.
Requirements
Treasury & Working Capital Management
Manage the Groups treasury operations including cash flow management foreign exchange and liquidity optimization.
Develop strategies for effective working capital utilization across the Groups supply chain and subsidiaries.
Evaluate and manage banking relationships to secure favorable financing terms.
Governance Reporting & Compliance
Oversee preparation of Group consolidated financial statements and reports in compliance with IFRS and regulatory standards.
Liaise with auditors tax authorities and regulators to ensure transparency and accountability.
Support the Management in financial reporting audit committee meetings and strategic decision-making.
Ensure tax compliance regulatory reporting and alignment with corporate governance standards.
Present accurate and timely reports to the management investors and key stakeholders.
Communication & Stakeholder Engagement
Serve as the financial spokesperson for the Group articulating strategy and performance to internal and external stakeholders.
Manage investor relations ensuring transparent and consistent communication with investors partners and analysts.
Facilitate effective cross-functional communication between finance operations and executive teams.
Present financial and strategic updates clearly to the Board executive management and key partners
Required Skills:
Treasury & Working Capital Management Manage the Groups treasury operations including cash flow management foreign exchange and liquidity optimization. Develop strategies for effective working capital utilization across the Groups supply chain and subsidiaries. Evaluate and manage banking relationships to secure favorable financing terms. Governance Reporting & Compliance Oversee preparation of Group consolidated financial statements and reports in compliance with IFRS and regulatory standards. Liaise with auditors tax authorities and regulators to ensure transparency and accountability. Support the Management in financial reporting audit committee meetings and strategic decision-making. Ensure tax compliance regulatory reporting and alignment with corporate governance standards. Present accurate and timely reports to the management investors and key stakeholders. Communication & Stakeholder Engagement Serve as the financial spokesperson for the Group articulating strategy and performance to internal and external stakeholders. Manage investor relations ensuring transparent and consistent communication with investors partners and analysts. Facilitate effective cross-functional communication between finance operations and executive teams. Present financial and strategic updates clearly to the Board executive management and key partners
Required Education:
Bachelors degree in Accounting or FinanceMSc or MBA in Finance or Accounting is an added advantage.