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Job Description
- Establish and execute the company's financial strategy to ensure maximum profitability and ongoing cost reduction
- Establish all banking, insurance, auditing, tax relationships and any other outsourced financial products.
- Establish strong relationships with financial institutions to raise capital for the company, including negotiation procurement of debt and equity capital.
- Manage all accounting matters; receivables and payables.
- Establish financial policy across all department to ensure greater stability and less risk
- Manage credit client assessment to ensure a stable cash flow and less risk exposure
- Contribute and participate in all investor relations discussions, and assessing acquisition opportunities by representing the financial aspect of the company.
Job Requirements
- Knowledge of the banking system and other capital raising opportunities
- Degree in accounting, business management, or related field
- Strong written and verbal communication skills
- Strong organization skills with people and paperwork.
- Experience working well with management teams.
- Excellent and successful relationship builder
- French and English are required