Overview
This role involves financial analysis, reporting, planning, and decision-making to ensure the financial health and stability of the company. The Finance Professional collaborates with various departments to support strategic initiatives and ensure compliance with financial regulations.
> Conduct financial analysis to assess the company’s performance, identify trends, and provide insights to support decision-making.
> Prepare and manage budgets, including revenue and expense forecasting.
> Collaborate with department heads to develop and track budgetary goals and ensure adherence to financial targets.
> Prepare and present financial reports to management, stakeholders, and regulatory authorities.
> Monitor cash flow, manage liquidity, and optimize working capital.
> Assist in long-term financial planning, including capital budgeting and investment analysis.
> Collaborate with auditors and regulatory authorities during financial audits.