What will you do:
- Maintain the financial health of the organization by good cash flow management
- Managing activities, resources and responsibilities of Receivables and Payables in conformance with established policies, practices, and procedures
- Assess and mitigate financial risks while identifying opportunities for revenue growth and cost optimization.
- Lead the financial planning and analysis function, providing accurate and timely financial insights to support decision-making.
- Conduct thorough financial modeling and forecasting to guide the organization's financial planning.
- Ensure compliance with accounting standards, tax regulations, and internal policies
- Manage relationships with external stakeholders, including financial institutions, investors, and regulatory bodies
What are we looking:
- At least 8+ years of experience in a corporate finance, finance & accounting role within a financial services or related industry
- Bachelor or advanced degree in finance, economics, accounting, or related field from top tier universities
- Big 4 background is probably going to be a big plus
- Dealing and managing with Treasury product is a plus
- Investor relations would be a plus
- Proficient in accounting, tax and audit. Plus consolidation
- Certified Public Accountant (CPA) or Chartered Accountant (CA) certification is a plus
- Excellent in communication, interpersonal skill, and leadership skills.
- Knowledge of regulatory compliance requirements and reporting standards in the financial services industry