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Job Description
The Chief Financial Officer for our group will responsible for supporting the executive team with key financial information and operational analytics, and driving a culture of accountability in managing the business, and adding value to our company.
Primary Responsibilities:
- Define the corporate financial strategy, manage financial capital and communicate capital requirements/ implications of business decisions to chairman.
- Conduct meaningful proactive analysis to improve key business decisions focusing on management of working capital, use of financial vehicles, and others
- Oversee the flow of cash or financial instruments.
- Prepare financial or regulatory reports required by laws, regulations, or boards of directors.
- Develop or analyze information to assess the current or future financial status of firms.
- Communicate with stockholders or other investors to provide information or to raise capital.
- Evaluate financial reporting systems, accounting or collection procedures, or investment activities and make recommendations for changes to procedures, operating systems, budgets, or other financial control functions.
- Analyze and classify risks and investments to determine their potential impacts on companies.
- Network within communities to find and attract new business.
- Review collection reports to determine the status of collections and the amounts of outstanding balances.
- Establish procedures for custody or control of assets, records, loan collateral, or securities to ensure safekeeping.
- Plan, direct, and coordinate risk and insurance programs of establishments to control risks and losses.
- Review reports of securities transactions or price lists to analyze market conditions.
- Proactively manage cash flows in a leveraged environment
- Implement proper financial reporting to determine daily and weekly gross profit estimates.
- Effectively lead the finance / accounting team by developing and coach existing team. and by hiring and retaining top-grade talent
- Develop and implement a financial risk management policy
- Effectively manage banks, board of director, suppliers, and other financial relationships
Job Requirements
- Bachelor’s degree from an accredited university or college. high studies in Accounting, costing, budgeting, Finance or Business are preferred.
- Minimum of 15+ years of experience in developing broad-scoped business relationships and managing and growing second stage companies.
- Up to date knowledge of current financial and accounting computer applications.
- Excellent verbal, analytical, organizational and written skills.
- Not Less than 45 years old.
- manufacturing Background are most welcome to apply.