As Director of Finance, you are responsible for overseeing the financial operations of the company, ensuring compliance with regulatory requirements, and providing strategic financial guidance to the leadership team.
You should have a deep understanding of finance, accounting, and business operations, as well as excellent analytical and communication skills. A strong track record of financial leadership and strategic planning is also essential. A Bachelor\'s degree in finance, accounting, or a related field is typically required, with an MBA or other advanced degree preferred. Relevant certifications such as CPA or CFA are also preferred.
Your main responsibilities include:
Financial Management: To develop and implement financial strategies, plans and budgets that align with the overall goals of the company. You will also oversee the preparation of financial statements, budgets, and forecasts.
Financial Reporting & Analysis: Manage the preparation and distribution of regular financial reports to the company\'s leadership team and board of directors. You will also conduct financial analysis to provide insights into the company\'s financial performance, and make recommendations to improve profitability and operational efficiency.
Risk Management: Monitor financial risks and develop strategies to mitigate them. You will ensure compliance with financial regulations and internal controls, and identify potential areas of risks.
Team Management: To lead the finance team, guide and coach them to success, be involved with recruiting, training and evaluating their performance. You will foster a culture of teamwork, collaboration, and continuous improvement in accordance with the company\'s culture values.
Business Partnership: You will act as a business partner to other venues and departments across the HQ office in providing financial guidance and support when required. You will work closely with other venue leaders and the board of directors to develop and implement cross-functional strategies.
Cash Management: Develop and oversee cash management strategies, ensuring the organization has sufficient liquidity to meet its financial obligations.
Audit & Compliance: Coordinate and manage the company\'s audit and compliance activities, ensuring compliance with all applicable regulations and laws.
Investment Management: Overseeing and managing the company\'s risk adjusted returns on assets and return on capital (or return on equity). Provide sound advice on long term investments, business and financial planning. Manage debt and investments, and other liquidity-related decisions.
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