Group Finance Manager
Current1. Financial Planning and Analysis:→ Develop and implement financial strategies, budgets, and forecasts for the group.→ Conduct comprehensive financial analysis to support strategic decision-making and optimize performance.→ Monitor key financial metrics, trends, and variances across multiple entities to identify opportunities and risks.2. Group Reporting and Consolidation:→ Coordinate the preparation and consolidation of financial statements for the group, ensuring accuracy and compliance with accounting standards.3. Compliance and Governance:→ Ensure compliance with regulatory requirements, accounting standards, and internal policies across all group entities.→ Implement and maintain robust internal controls and procedures to safeguard assets and mitigate risks.→ Liaise with auditors and regulatory authorities to facilitate audits and address compliance issues.4. Treasury and Cash Management:→ Manage group liquidity, cash flow forecasting, and working capital optimization to support operational needs and financial obligations.→ Monitor foreign exchange exposure and implement hedging strategies to mitigate currency risk.5. Strategic Financial Leadership:→ Provide strategic financial guidance and recommendations to senior management and the board of directors.→ Collaborate with business units and functional leaders to evaluate investment opportunities,→ Drive initiatives to enhance financial performance, efficiency, and shareholder value across the group.6. Team Management and Development:→ Lead and mentor finance teams across multiple entities, fostering a culture of collaboration, accountability, and continuous improvement.→ Provide coaching and professional development opportunities to build capabilities and enhance performance.7. Stakeholder Engagement:→ Build and maintain relationships with internal and external stakeholders, including investors, lenders, regulators, and business partners.