The individual in this role will oversee the financial and fiscal management of the company, offering leadership and coordination in various areas such as business planning, financial performance analysis, accounting, budgeting, forecasting, and fund procurement.
Serving as a vital member of the Operating Board, they will collaborate closely with the President and the Board of Directors to strategize and shape the company's future direction.
- Oversee the preparation of financial documents including Balance Sheets, Profit and Loss Statements, and Annual Reports.
- Manage the company's cash flow, understanding its sources and uses, overseeing fund raising activities, and safeguarding the integrity of funds, securities, and important documents. Proactively manage cash flows in a leveraged environment.
- Develop and implement robust control processes and procedures, including managerial controls, metrics, forecasting methods, budgeting procedures, cost control measures, and variance analysis techniques.
- Lead a cross-functional Cost Effectiveness Program aimed at driving cost efficiencies across the organization, covering areas such as Operating Expenses, Personnel Expenses, and Overheads.
- Monitor the capital structure and financial health of the company, assessing risks and ensuring adequate liquidity.
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