Position Overview
Corporate - Evaluate & develop long-range plans, goals and objectives
- Develop/direct specific strategies for set objectives
- Research, analyse & interpret financial transactions & data, legislative information and economic and market conditions
- Maintain the fiscal integrity of company’s financial resources
- Analyse changes in assessed valuation & earnings on investments to project cash flow
- Confer with bankers, consultants etc. on debt programs, funding policies etc.
- Direct the preparation of reports required by regulatory authorities for overseas projects
- Attend divisional meetings to provide direction and advice in resolving financial issues
- Evaluate financial reporting systems, accounting and collecting procedures & investment activities
- Plan & direct risk and insurance programs to minimize risks and losses
- Direct insurance negotiations
- Monitor company’s issuanc...