Take responsibility for all financial reporting, investments, budgeting, cash management and help drive the company's financial strategy.
Coordinate development of annual operating, capital, and program budgets, as well as reporting for the same.
Ensure cash flow is compatible with operations by overseeing day-to-day accounting, recording, reporting, and internal-control activities/processes of the organization.
Develop and implement best practices and appropriate means and methods to ensure a well-controlled yet flexible organization that has strong fiscal. management and cross-team communications
• Must be a Chartered accountant and Cost accountant, Company secretary preferred.
• International finance experience preferred
• Drive the company's financial planning and prepare reliable current and forecasting reports
Bachelors
Any Masters Degree
financial reporting,investments,budgeting,cash management,
Construction/ Engineering/Cement/Metals