Work with the CEO and leadership team to develop and implement financial strategies that support the company’s growth objectives.
Lead the annual budgeting and forecasting process and ensure alignment with business goals and market trends.
Evaluate investment opportunities and provide financial insight to support strategic decisions.
Ensure that all financial statements, including balance sheets, income statements, and cash flow statements, are prepared in a timely and correct manner.
To help people make well-informed decisions, offer in-depth financial research that highlights trends, discrepancies, and performance indicators.
Create and maintain financial models for long-term planning and scenario analysis.
Develop measures to reduce these risks by identifying and evaluating financial risks such as currency fluctuations, market volatility, and regulatory changes.
Optimize working capital and short-term investment strategies while managing cash flow and liquidity.
Ensure adherence to pertinent financial rules, regulations, and reporting requirements.
To facilitate annual audits and reviews, coordinate with external auditors.
* The salary benchmark is based on the target salaries of market leaders in their relevant sectors. It is intended to serve as a guide to help Premium Members assess open positions and to help in salary negotiations. The salary benchmark is not provided directly by the company, which could be significantly higher or lower.