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Develop and implement financial strategies, policies, and procedures aligned with the organization's business objectives. Oversee the company's cash flow, liquidity, and working capital to ensure efficient financial operations. Lead the annual budgeting process, financial planning, and forecasting activities. Monitor financial performance and analyze variances against budgets and forecasts. Prepare, review, and present financial reports and management reports to senior executives. Conduct financial analysis and provide recommendations to support strategic business decisions. Manage financial risks and develop risk mitigation plans to protect the company's financial interests. Establish and maintain effective internal controls to ensure accuracy, transparency, and compliance. Monitor compliance with financial regulations, company policies, and relevant legal requirements. Coordinate with banks, financial institutions, auditors, and other external stakeholders. Manage funding requirements, credit facilities, and banking relationships. Support business planning, investment analysis, and financial feasibility studies. Identify opportunities for cost reduction and process improvement to enhance financial performance. Lead, coach, and develop the Finance team to achieve departmental goals and objectives. Drive continuous improvement initiatives within the Finance Department to increase operational efficiency.