Duties & Responsibilities :
Manage corporate finance (planning, budgeting, accounting & reporting) functions in line with strategic objectives of the businesses and as per accounting norms.
Ensure preparation of quality financial and business analysis reports to meet requirements of CFO, board, management, financial institutions and governmental authorities.
Oversee treasury related aspects like credit facilities, cash pooling, forecasting, working capital monitoring, off-balance sheet borrowings (L/Cs, etc...) to optimize deployment of funds within the organization.
Manage the procurement function of the group including RFP drafting, tendering, supplier evaluation/selection, sourcing strategies, supplier negotiation etc.
Establish and ensure best practice internal control policies and procedures so as to manage financial activities in a risk averse and controlled manner.
Coordinate, execute and draw up operational and financial internal audit reports.
Provide day to day managerial support to junior colleagues. This includes assisting in setting individual and department objectives, measuring performance and providing developmental input as required.
10+ years of post-qualified experience across all fields of Financial Management.
Big 4 Advisory / Listed Corporations experience preferable.
Board level presentations and drafting exposure.
Masters / Bachelors in Accounting / Finance / Management.
Professional Membership CA / ACCA / CPA / CIA