Job Description
The role exists to: - Lead, direct, and control the organization's financial resources to maintain the short and long-term financial health of the business. And to direct all corporate financial functions so that financial transactions, policies, and procedures meet the organization's short and long-term business objectives and are conducted in accordance with regulations, accounting principles, and standards.
Responsibilities:
● Accounting; credit control; cash flow; investment management; tax; insurance; treasury; internal audit; budgeting and forecasting; and foreign exchange.
● Contribute to strategic planning and decision-making at the top executive level to develop and implement an organization-wide financial strategy that aligns with the organization's vision and its current and long-term business objectives.
● Direct the timely and accurate preparation of the organization's financial reports, such as profit and loss accounts, balance sheets, management financial reports, and regulatory reports and filings.
● Evaluate proposed business activities and transactions such as acquisitions, investments, capital expenditure, divestitures, mergers, or the sale of assets to ensure they are financially viable.
● Establish and maintain positive relationships with banks, investment analysts, and other financial institutions.