Work with the CEO and leadership team to develop and implement financial strategies that support the companys growth objectives.
- Lead the annual budgeting and forecasting process and ensure alignment with business goals and market trends.
- Evaluate investment opportunities and provide financial insight to support strategic decisions.
- Ensure that all financial statements including balance sheets income statements and cash flow statements are prepared in a timely and correct manner.
- To help people make wellinformed decisions offer indepth financial research that highlights trends discrepancies and performance indicators.
- Create and maintain financial models for longterm planning and scenario analysis.
- Develop measures to reduce these risks by identifying and evaluating financial risks such as currency fluctuations market volatility and regulatory changes.
- Optimize working capital and shortterm investment strategies while managing cash flow and liquidity.
- Ensure adherence to pertinent financial rules regulations and reporting requirements.
- To facilitate annual audits and reviews coordinate with external auditors.
- Our client is a rapidly expanding multinational organization with a vision to encompass a wide range of commodities spanning from seeds to retail.
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