Budgeting and Forecasting:
- Oversee the development of the annual budget and rolling forecasts;
- Manage scenario analysis and re-forecasting processes to adapt to business changes;
- Ensure accurate budget preparation, aligning with company objectives and strategic goals.
Financial Reporting and Analysis:
- Prepare periodic financial reports for senior management and shareholders;
- Conduct variance analysis, comparing actual results with budgeted figures;
- Deliver actionable financial insights to support executive decision-making.
Strategic Planning / Financial Modeling:
- Support long-term financial planning including developing and improving long- term financial model of the company;
- Put together financial models for different business scenarios (e.g., growth plans, new investments);
- Evaluate the financial feasibility of new projects, investments, and market expansion opportunities.