Coordinate development of annual operating, capital, and program budgets, as well as reporting for the same
Ensure cash flow is compatible with operations by overseeing day-to-day accounting, recording, reporting, and internal-control activities of the organization
Comply with national and local financial requirements by studying existing and new legislation and taking appropriate action
Work with senior managers to efficiently develop budget proposals, provide access to project finance information, and ensure contract/grant compliance and reporting
Research revenue opportunities and economic trends, analyze internal operations, and identify areas for cost reduction and process enhancement
Perform risk management through analysis of company liabilities and investments
Tax planning and compliance: oversee tax planning to ensure compliance with tax laws and regulations, while also identifying tax saving opportunities and transfer pricing strategies for connected companies
Debt management and financing: manage the company debt profile, including negotiating terms with lenders, ensuring compliance with debt covenants and exploring options for refinancing or securing new funding as needed
stakeholder relations: communicate with stakeholders, including investors, board members, and financial institutions, to provide financial updates and insights
mergers and acquisitions: provide financial due diligence, integration planning, and post- merger financial management.
Preferred skills and qualifications :
Master’s degree (or equivalent experience) in accounting, business accounting, or finance
International finance experience
Experience in mergers and acquisitions and investor relations