Reports To:General Manager / Director
Division:HQ
Job Responsibilities:
- Develop and executive financial strategies in alignment with the companys shortterm and longterm goals and objectives.
- Work closely with senior management to provide financial insights for decisionmaking.
- Provide accurate and timely financial reports to senior management and other stakeholders.
- Lead the annual budgeting process and longterm financial forecasting
- Monitor budget variances and provide recommendations for cost control and revenue enhancement.
- Conduct financial analysis to support business decisions such as pricing strategies product profitability and investment opportunities etc.
- Identify trends and areas for improvement to optimize financial performance.
- Establish and maintain robust internal control systems to safeguard the companys assets and ensure compliance with financial regulations.
- Manage cash flow effectively to ensure liquidity for daily operations and capital investment.
- Implement strategies to optimize working capital and cash reserves.
- Main liaison for the audit tax and company secretarial matters.
- Dealing with bankers and other financiers in relation of banking and financing matters.
- Dealing with bankers and other financiers in relation of banking and financing matters.
- Manage the companys leasing which may include negotiating lease agreements renewals and terminations.
- Provide financial insights on the companys expansion plans and cost optimization.
- Implementing and overseeing all activities related to the financial aspects of all related companies.
- Any other tasks/reports as and when requested/required by your superiors.
Ideal Candidates Should Have:
- Degree in Accounting and/or Professional Qualification (i.e. ACCA CIMA CPA)
- Any other certification will be an added advantage.
- At least 810 years of experience preferably in Food and Beverage industry.
- Good communication and interpersonal skills.
- Fastpaced and energetic.
- Passionate about Food and Beverage.