Flexible Work, Better Balance
Develop and implement long-term financial strategies aligned with the companyβs business goals.
Advise the CEO and executive team on financial planning, risk, and investment strategies.
Ensure compliance with statutory regulations, tax laws, and accounting standards.
Review departmental budgets and assess financial performance against targets.
Oversee cash flow planning, liquidity management, and funding strategies.
Ensure strong internal control over cash handling and treasury functions.
Analyze cost structures and recommend strategies to improve margins and profitability.
Provide financial input on pricing, sourcing, and business expansion plans.
Lead and mentor a high-performing finance team.
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