Co-ordinating and consolidating the activities of various finance team members into a strategic output
Provide strategic financial insights to the Executive Management Team (ExCo) and Board on the financial performance and the financial position of the Group and the Subsidiaries
Advising on long-term business and financial planning
Provides lead to the Executive Management Team (ExCo) on the company’s liquidity and working capital status
Provide strategic financial planning and modelling
Develop a capital structure that is most suitable for sustainability
Manage annual and quarterly budget preparation process and review and submit to CEO for approval
Support the CEO in developing, maintaining and consistently improving the organization’s fundraising strategy
Ensure use of fund complies with conditions set by funding bodies and/or investors
Develop a cashflow management documents for the purpose of liquidity Management and provide report to CEO
Provide guidance and supervise the relationship of the financial officers at the various subsidiaries with the companies’ bankers, External Auditors, Regulators and Tax consultants.
Requirements:
Bachelor’s degree in finance, Accounting or related field.
CPA, CMA or CFA designation preferred.
Minimum of 15 years’ experience in a senior finance role.
Experience in financial planning and analysis, cash management and financial reporting.