Conduct cashflow analysis on the different Business Units of the Group
Assist in establishing and regularly monitor parameters/metrics for Liquidity tracking
Develop and implement planning metrices and strategies to manage liquidity risks for the Group
Monitor and understand macro and competitive factors affecting the business
Proactively liaise and regularly dialogue with various business units to gather data and inputs for analysis, develop and execute liquidity planning measures and processes
Assist in socializing observations with management (including the business units)
Key Qualifications
10 years of experience in financial planning and analysis