Job Summary:
The CFO will be responsible for managing the financial actions of the company including tracking cash flow financial planning analyzing the companys financial strengths and weaknesses and proposing corrective actions. The CFO will work closely with the CEO and other senior executives to develop and implement financial strategies that support the companys growth and profitability.
Key Responsibilities:
Oversee all financial operations and direct corporate financial planning and structure.
Coordinate analyze and report the financial performance to Management and Board of Directors (financial performance projections and other special projects as required).
Prepare short and longterm financial forecasts of financial performance for use with internal management and external parties.
Oversee audit and tax functions coordinate activities with outside audit firms and review firms performance.
Develop implement and maintain accounting and administrative policies and procedures for a wideranging set of activities including financial accounting and reporting.
Manage the companys financial planning budgeting and forecasting processes.
Ensure compliance with all financial regulations and standards.
Lead and manage the finance team providing guidance and support to ensure high performance.
Qualifications:
Proven experience as CFO finance officer or relevant role and minimum 10 years experience.
Indepth knowledge of corporate financial law and risk management practices.
Excellent knowledge of data analysis and forecasting methods.
Proficient in the use of MS Office and financial management software (e.g. SAP).
Strong leadership and organizational skills.
Excellent communication and people skills.
An analytical mind comfortable with numbers.
Education:
Bachelor s degree in Finance Accounting or related field (MBAFinance).
CA academic qualification is must
Benefits:
GPA PF Performance Bonus
accounting policies,financial forecasting,compliance management,forecasting methods,financial management software proficiency,communication skills,financial reporting,forecasting,qualified chartered accountant,tax management,finance,data analysis,audit coordination,ms office proficiency,cash flow management,budgeting processes,accounting,financial planning,leadership skills,financial performance