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• Develop and implement financial strategies, policies, and procedures to ensure effective financial management and compliance with regulatory requirements.
• Oversee the preparation of financial statements, budgets, forecasts, and other financial reports for internal and external stakeholders.
• Monitor financial performance against budgets and targets, identifying areas for improvement and taking corrective actions as needed.
• Manage cash flow, liquidity, and capital allocation to support business operations and growth initiatives.
• Collaborate with executive leadership to develop and execute the company's overall strategic plan and long-term financial objectives.
• Provide financial analysis and insights to support strategic decision-making, investment opportunities, and business expansion plans.
• Conduct financial modeling and scenario analysis to evaluate the potential impact of various strategic initiatives and market changes
• Negotiate and structure M&A transactions, including valuation, deal terms, and financing arrangements.
• Develop and maintain complex financial models to support business forecasting, budgeting, and decision-making processes.
• Analyze financial data and key performance indicators (KPIs) to identify trends, risks, and opportunities for improvement.
• Conduct comprehensive due diligence reviews on potential investments, partnerships, or strategic initiatives, assessing financial, operational, and legal aspects.
• Identify and evaluate risks associated with proposed transactions, recommending mitigation strategies and risk management measures.
• Provide financial insights and support for commercial negotiations, contracts, and customer/vendor relationships.
• Develop and implement risk management strategies to identify, assess, and mitigate financial risks across the organization.
• Serve as the primary point of contact for investors, analysts, and financial institutions, providing regular updates on financial performance and strategic initiatives.
• Manage treasury functions, including cash management, liquidity planning, and investment strategies to optimize returns while minimizing risk.
• Develop tax strategies and structures to optimize the company's tax position while ensuring compliance with tax laws and regulations.