Development of a financial strategy for the group and its related metrics while playing a pivotal role in shaping the corporate/ business strategy
Accountable for the financial and risk management operations of the group
Development and monitoring of control systems designed to provide accurate reporting of the groups financial results and preserve the group s assets
Lead the planning finance operations financial information risk management funding needs and liaison with third parties
Scope of Work
Strategic
Assist the Group CEO in formulating the groups future direction and support tactical initiatives
Monitor and direct the implementation of strategic business plans
Develop financial and tax strategies
Develop performance measures that support the groups strategic direction
Participate in key decisions as a member of the executive management team
Monitor all open legal issues involving the group and legal issues affecting the industry
Understand and mitigate key elements of the companys risk profile
Ensure that the group companies comply with all legal and regulatory requirements
Finance Operations
Provide strong leadership direction and management of the subsidiary CFOs/ Financial Controllers and Finance teams
Implement operational best practices including Power BI RPA Gen AI etc.
Oversee the financial operations working capital and cash flow management of the group and its subsidiaries as well as company secretarial matters
Oversee the groups transaction processing systems construct and monitor reliable control systems
Manage the capital request and budgeting processes
Maintain appropriate insurance coverage
Monitor cash balances and cash forecasts
Manage banking relationships and dealing with lenders on data requests and business performance updates
Arrange for debt and equity financing
Reporting
Oversee the issuance of financial information to fulfill reporting requirements to all stakeholders internal and external (including shareholders banks investors etc)
Ensure that record keeping meets the requirements of auditors and government agencies and compliance to all relevant accounting standards and GAAP
Report financial results and risk issues to the Board of Directors and Executive Committee
Relationship/ Network Management
Maintain banking relationships and represents the company with investment bankers and investors
Maintain relations with external auditors and investigate their findings and recommendations
Maintain indepth relations with all members of the management team
Manage any third parties outsourcing services providers
Requirements
Experience/ Qualifications
10 years of progressively responsible experience for a major company or division of a large corporation with good commercial mindset
Experience in manufacturing and dealings with China businesses preferred
Experience in partnering with an executive team and have strong written and oral communication skills
Preference will be given to candidates with an MBA in Finance and the Certified Public Accountant or Certified Management Accountant designations
Behaviours/ Attitudes
Analytical mind with a strategic ability
Excellent organizational and leadership skills
Outstanding communication and interpersonal abilities
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