responsible for overseeing a companys financial operations including budgeting financial reporting analysis and strategic planning by monitoring income and expenses identifying trends and providing insights to senior management to maximize profitability and achieve organizational goals; key duties include developing financial policies managing cash flow forecasting future performance and ensuring compliance with financial regulations.
Key Responsibilities:
Financial Planning and Analysis:
Create and manage budgets for different departments aligning with overall business strategy.
Conduct financial forecasting to predict future revenue and expenses.
Analyze financial data to identify trends opportunities and potential risks.
Prepare detailed financial reports for senior management and stakeholders.
Financial Operations Management:
Oversee accounting functions including accounts payable/receivable bank reconciliations and payroll.
Implement and maintain internal controls to ensure accuracy and prevent fraud.
Monitor cash flow and manage working capital.
Ensure compliance with relevant financial regulations and accounting standards.
Strategic Decision Support:
Collaborate with other departments to provide financial insights and support strategic decisionmaking.
Evaluate potential investments and acquisitions performing financial due diligence
Develop financial models to assess the impact of business initiatives
Leadership and Team Management:
Lead and mentor a team of finance professionals
Develop and implement financial policies and procedures
Manage relationships with external auditors and financial institutions
Required Skills and Qualifications:
Bachelors degree in Finance Accounting or related field
Masters degree in Business Administration (MBA) with a finance concentration (preferred)
Certified Public Accountant (CPA) or other relevant professional accounting designation (preferred)
Strong analytical and problemsolving skills
Advanced proficiency in financial modeling