Job Description
- Cashflow Management: Oversee and optimize the company’s financial liquidity and cashflow.
- Financial Planning: Develop and implement strategic financial plans aligned with business objectives.
- Feasibility Studies: Conduct comprehensive analyses to evaluate the viability of new projects and investments.
- Treasury Management: Ensure effective treasury management to support operational and strategic goals.
- Financial Modelling: Create robust financial models to support decision-making and strategic planning.
- Compliance and Corporate Governance: Ensure the company’s adherence to regulatory requirements and best practices in corporate governance.
Responsibilities
Cashflow Management: Oversee and optimize the company's financial liquidity and cashflow.
Financial Planning: Develop and implement strategic financial plans aligned with business objectives.
Feasibility Studies: Conduct comprehensive analyses to evaluate the viability of new projects and investments.
Treasury Management: Ensure effective treasury management to support operational and strategic goals.
Financial Modelling: Create robust financial models to support decision-making and strategic planning.
Compliance and Corporate Governance: Ensure the company's adherence to regulatory requirements and best practices in corporate governance.