Overseeing all financial aspects of a company, including financial planning, strategy development, and reporting .
They are responsible for managing budgets, forecasting, and analyzing financial data to ensure effective financial management and meet organizational objectives.
This role also includes leading a finance team, ensuring compliance with regulations, and advising on financial investments and acquisitions.Financial Planning and Strategy: Developing and implementing long-term financial plans, budgets, and forecasts.
Financial Reporting: Producing and delivering monthly management accounts, ensuring compliance with regulatory reporting, and managing the year-end audit.
Budgeting and Forecasting: Managing the budgeting process, preparing financial forecasts, and tracking cash flow.
Financial Analysis: Analyzing financial data, identifying trends, and providing insights for decision-making.
Team Leadership: Leading and mentoring a finance team, ensuring effective communication and collaboration.
Investment and Acquisition: Evaluating and advising on potential investments and acquisitions.
Regulatory Compliance: Ensuring compliance with financial regulations and industry standards.
Risk Management: Identifying and mitigating financial risks.
Stakeholder Communication: Communicating financial information to various stakeholders, including investors, management, and employees.
Qualifications: Graduate of BS Accountancy CPA board passer With at least 5 years of experience in both Accounting & Treasury Experienced in the Real Estate industry #J-18808-Ljbffr
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