The Job Overview
We are seeking a financial manager to help us manage our finances. You will be responsible for creating, analyzing, and interpreting our data to make informed decisions. You will also be expected to create new financial models and charts to assist with our business planning and forecasting. Your duties will include account reconciliation, balance sheet analysis, monthly reporting, tax reporting, and preparation of budgets. You will also manage our organization's debt and lead the development of financial statements and forecasts.
Responsibilities
As a Finance Manager for a company aspired of entering pre-IPO stage, you'll be responsible for overseeing all financial aspects, including budgeting, forecasting, reporting, and ensuring compliance, while also playing a key role in preparing the company for a potential public offering.
Financial Planning and Analysis:
Develop and manage budgets, forecasts, and financial models to support business strategy and decision-making.
Financial Reporting and Compliance:
Prepare accurate and timely financial reports, ensuring compliance with accounting standards and regulatory requirements.
Cash Flow Management:
Oversee cash flow, manage accounts payable and receivable, and optimize working capital.
Risk Management:
Identify, assess, and mitigate financial risks, including developing strategies to minimize potential losses.
Strategic Financial Advice:
Provide financial insights and recommendations to senior management, supporting strategic planning and decision-making.
Team Leadership:
Lead and mentor a finance team, ensuring effective performance and development.
Pre-IPO Preparation:
Assist in preparing the company for an IPO, including gathering financial data, working with investment banks, and ensuring compliance with regulatory requirements.
Data Analysis and Reporting:
Collect, interpret, and review financial information, predicting future financial trends, and reporting to management and stakeholders.
Budget Management:
Review, monitor, and manage budgets across different business departments.
Investments:
Make decisions on how to invest the organization’s money.
Operational Reporting:
Undertake operational reporting and analysis to ensure the organization achieves financial targets.
Job Qualifications and Skill Sets
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A Bachelor degree or above qualification in finance or accounting, or 5 years relevant work experience in the related field.
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Strong analytical skills
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Proven experience in financial analysis, forecasting, and budgeting
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Sound knowledge of fund management and financial product design is preferred
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Experience with Pre-IPO & IPO procedures would be a huge plus
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Experience with financial management software systems
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Excellent written and verbal communication skills
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Strong organizational skills
If this soundslike you, click Apply Now!!!