Responsibilities
- Developing financial forecasts, budgets, and financial models to support strategic decision-making.
- Preparing and analyzing financial reports, statements, and performance metrics for internal and external stakeholders.
- Identifying and managing financial risks, including market risk, credit risk, and liquidity risk.
- Evaluating investment opportunities, conducting cost-benefit analysis, and making recommendations on capital allocation.
- Monitoring and managing cash flow to ensure liquidity and optimize working capital.
- Assessing potential mergers, acquisitions, or divestitures, conducting due diligence, and supporting deal negotiations.
- Ensuring compliance with financial regulations, accounting standards, and internal policies.
- Developing and implementing financial strategies to maximize shareholder value and support the company's growth objectives.
- Communicating financial performance and strategies to senior management, investors, and other stakeholders.
Requirements
- Bachelor's degree in Finance, Accounting, Economics, or a related field.
- At least 5 years of experience in corporate finance, financial planning and analysis, or related roles.
- Strong analytical and quantitative skills to analyze financial data, evaluate investment opportunities, and make data-driven decisions.
- Proficiency in financial modeling and forecasting techniques to support strategic planning and decision-making.
- Knowledge of financial risk management principles and practices.
- Excellent communication skills to present complex financial information to non-financial stakeholders.
- Ability to lead a team, manage projects, and collaborate with cross-functional teams.
Interested parties please send your resume to [email protected]