Develop the financial strategy and align it with the company’s overall plan.
Prepare and manage budgets and both short- and long-term financial forecasts.
Oversee the preparation of financial statements, ensuring accuracy and compliance with standards.
Manage cash flow and liquidity, and plan financing needs.
Develop financial control systems, governance frameworks, and risk management processes.
Lead accounting, treasury, tax, and financial compliance teams.
Support investment and expansion decisions and conduct financial feasibility analyses for projects.
Manage relationships with banks, lenders, and external auditors.
Optimize cost structure and enhance spending efficiency.
Prepare strategic reports for senior management on financial performance, opportunities, and risks.