The purpose of this role is to create a financial strategy that aligns with the company s growth plans.
Key Responsibilities:
Lead and develop short-term and long-term financial strategies to ensure achievement of company objectives
Develop, execute and lead financial controls for the company
Play an integral part in driving business strategies to scale up and plan for growth
Manage capital structure, identify working capital and growth investment financing needs, oversee both debt and equity financing efforts.
Directly manage investor and Board of Directors relationships and general investor communications
Be the strategic business partner to business leaders and other stakeholders
Lead financial forecasts, annual plan/budget, long-range plan and programs associated with driving business growth and productivity
Help the company to scale efficiently - well always move fast, but evolving our planning processes and ensuring finance best practices spread through the organization.
Oversee weekly, monthly, quarterly and annual financial reports and ensure overall compliance with all financial rules and regulations
Advise organization on major legal issues and provide legal assistance on related areas, including litigations, contracts, mergers and regulatory filings
Supports and improves compliance with all regulatory requirements, including controls over purchasing, sales and taxation.
CA, with 15+ years of experience in Business finance, controllership, taxation & treasury
Candidates with food & beverage/retail / QSR industry with startup experience preferred
Candidates who have scaled up a business, set up the finance function, will be suitable for this role.