Support the CFO in preparing financial strategy papers, financial projections, cash flow analysis, capital allocation summaries, and management reports.
Assist the CFO in monitoring financial and investment-related activities of other assigned entities.
Follow up on financial control mechanisms designed to prevent fraud, revenue leakage, unauthorized transactions, and process deviations.
Compile and monitor investment portfolio information including fixed deposits, bonds, equities, real estate, and other approved investment classes.
Coordinate with departments and branches for timely submission of financial data, supporting documents, variance explanations, and budget inputs.
Qualifications:
Master's degree in Finance, Accounting, Business Administration (MBA – Finance), Economics, or a related discipline from a recognized university.
Professional qualification such as CA, ACCA, CPA, CFA, CMA, or equivalent is highly preferred.
Minimum 8–10 years of progressive experience in corporate finance, financial planning & analysis (FP&A), treasury, budgeting, accounting, financial reporting, or investment management.
At least 3–5 years in a managerial or leadership role.
Experience in capital budgeting, investment analysis, cash flow management, and working capital optimization.
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