- Lead the finance team for day-to-day operational finance & FP&A
- Develop key financial models
- Plan for cash spends on different projects
- Comply with all audits and company policies
- Create company wide budgets for a fiscal year
- Adhere to laws and regulations, especially familiarity with taxation
- Create presentations for key executives
- Manage Treasury & healthy company cash flows, including liaising with banks
- Fluent in English is a MUST
- Bachelor's Degree in Accounting & related degree. Master's in Finance or MBA would be a plus
- At least 10 years of experience as a finance professional
- Knowledge of financial forecasting, tax & treasury
- Detail and results oriented
- Leadership and business acumen
- Expert level problem solver and analytical
- Ability to take complex data and find the key metrics
- Desire to learn and grow in the role
- Experience managing a company's cash flow
- Strong communication and interpersonal skills
- Great remuneration package
- Opportunity to work alongside reputable company within management level
- Global exposure
Michael Page
