Job Description :
- Developing financial strategy, including risk minimisation plans and opportunity forecasting
- High-level financial reporting and analysis
- Regular budget consolidation
- Working capital management ( mandatory)
- Cash flow management
- Improving efficiencies and reducing costs across the business
- Stakeholder management
- Debt management and collection
- Preparing company tax statements
- Ensuring compliance with statutory law and financial regulations
- Looking for CA with 12-18 years of experience in corporate finance
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