"Financial Planning and Strategy: Developing financial strategies, long-term financial plans, and budgets aligned with the organization's goals and objectives.
Financial Reporting: Overseeing the preparation and presentation of accurate financial reports, including balance sheets, income statements, cash flow statements, and financial forecasts. Ensuring compliance with accounting standards and regulations.
Budgeting and Forecasting: Leading the budgeting process, monitoring variances, and conducting financial forecasts to support decision-making and resource allocation.
Financial Analysis: Conducting financial analysis, performance monitoring, and providing insights to support strategic decision-making and improve financial performance.
Risk Management: Identifying and managing financial risks, implementing strategies to mitigate risks, and ensuring compliance with internal controls and regulatory requirements.
Tax Planning and Compliance: Managing tax planning strategies, overseeing tax compliance, and ensuring adherence to tax laws and regulations.
Treasury Management: Managing cash flow, optimizing working capital, and overseeing investment strategies to maximize returns while minimizing financial risks.
Financial Controls: Establishing and maintaining financial policies, procedures, and controls to safeguard assets, prevent fraud, and ensure accuracy in financial reporting.
Team Management and Leadership: Leading and managing the finance and accounting team, providing guidance, mentorship, and fostering a high-performance culture.
Stakeholder Communication: Collaborating with senior management, board members, investors, auditors, and other stakeholders to communicate financial performance, strategies, and risks.
Mergers and Acquisitions (M&A) and Funding: Participating in M&A activities, due diligence processes, and managing fundraising activities, if required."