Responsible for overseeing the financial operations for our group of companies and ensuring the organization's financial health and stability.
Financial Planning and Costs Analysis
- Budgeting: Developing and managing budgets for various departments and projects.
- Financial Forecasting: Predicting future financial performance based on historical data and market trends.
- Financial Modeling and Quarterly Business Review Presentation: Creating financial models to assess different business scenarios and investment opportunities.
- Costs Analysis: Benchmarking cost drivers and driving different costs initiatives
Financial Reporting
- Financial Statements: Preparing and analyzing financial statements (income statement, balance sheet, cash flow statement).
- Regulatory Compliance: Ensuring adherence to financial regulations, accounting standards (e.g., IFRS, GAAP), and tax laws.
- Internal and External Reporting: Providing financial reports to management, investors, and other stakeholders.
- Preparations of full sets of accounts of offshore entities and investment holding entities.
Financial Risk Management
- Risk Assessment: Identifying and evaluating financial risks, such as market risk, credit risk, and liquidity risk.
- Risk Mitigation: Implementing strategies to mitigate financial risks and protect the organization's assets.
Treasury Management
- Cash Flow Management: Overseeing cash inflows and outflows to optimize working capital.
- Investments: Managing the organization's investment portfolio, including cash and securities.
- Treasury Policies: Developing and implementing treasury policies to ensure efficient and effective cash management.
Corporate Finance
- Mergers and Acquisitions: Supporting mergers, acquisitions, and divestitures.
- Capital Raising: Assisting in raising capital through equity or debt financing.
- Valuation: Conducting valuations of businesses, assets, and projects.
- Ensuring compliance with tax laws and regulation inclusive of transfer pricing.
- Managing tax audits and assessments.
Financial Systems and Controls
- Financial Systems: Implementing and maintaining financial systems and software.
- Internal Controls: Ensuring the effectiveness of internal controls to prevent fraud and errors.
- Audit Coordination: Coordinating with external auditors to conduct financial audits.
Job requirements:
- Bachelor's degree in finance, accounting, or a related field.
- Minimum 5 years of relevant experience
- Strong team player and able to work in a dynamic, fast-paced environment and meet tight deadlines.
- Possess effective communication and presentation skills.
- Proficient in financial software and Microsoft Office applications (Word, Excel, Powerpoint)
- Familiarity with financial regulations and accounting standards
- Prior experience in the real estate industry will be an advantage.