- Ability to analyze financial data and produce accurate reports and concise summaries for the Board of Directors.
- Provide insightful financial analysis of consolidated results, including budgets, forecasts, and month-end results.
- Developing long-term financial plans aligned with the company’s objectives.
- Support senior management by implementing strategic financial plan processes, developing ongoing performance tracking reports, and providing recommendations for the company's growth.
- Assessing financial risks and implementing policies to mitigate them.
- Preparing annual budgets and monitoring financial performance.
- Ensuring compliance with financial laws and standards.
- Building strong relationships with banks and financial institutions.
- Managing relationships with investors and shareholders.
- Communicate and build strong relationships with staff and management team.
Skills
- Bachelor’s degree in Accounting or Finance (Master’s degree preferred).
- Recognized professional certifications in accounting or finance.
- At least 10 years of experience in the financial sector, preferably including:
Working in holding companies or multi-activity organizations.
Managing financial teams.
Experience in strategic financial analysis.
Expertise in analyzing company activities, identifying weaknesses, and
- Strong attention to detail and ability to understand/interpret complex data and communicate it in a simple way across functional groups.
- Good understanding of various aspects of accounting and finance as well as operations.
- Comfortable interacting with all levels of management in multiple areas.
- Strong technical accounting knowledge, and ability to solve problems.