وصف الوظيفة


  • Financial Planning and Analysis:

l Develop and implement financial strategies, policies, and procedures to support the company's overall objectives.

l Lead financial planning, budgeting, and forecasting processes, ensuring accuracy, consistency, and alignment with business goals.

l Conduct in-depth financial analysis, identify trends, and provide recommendations to optimize financial performance.

  • Financial Reporting and Compliance:

l Oversee the preparation and presentation of accurate and timely financial statements, reports, and analysis for management, board of directors, and external stakeholders.

l Ensure compliance with relevant accounting principles, regulations, and legal requirements.

l Coordinate with internal and external auditors to facilitate audits and maintain strong internal controls.

  • Risk Management and Internal Controls:

l Develop and implement robust risk management frameworks to identify, assess, and mitigate financial risks.

l Monitor and evaluate financial risks, including credit risk, liquidity risk, and operational risk, and implement appropriate risk mitigation strategies.

l Establish and maintain effective internal control systems to safeguard company assets and ensure compliance with regulatory requirements.

  • Treasury and Cash Management:

l Oversee cash flow planning and management to ensure adequate liquidity for daily operations and future growth.

l Develop and implement strategies for optimizing working capital, minimizing borrowing costs, and managing foreign exchange risks.

l Manage relationships with financial institutions, including negotiating and securing funding facilities and managing banking relationships.

  • Investment and Capital Management:

l Collaborate with the executive team to evaluate investment opportunities, including loan portfolios, partnerships, and expansion initiatives.

l Monitor and manage the company's capital structure, optimizing the mix of debt and equity financing.

l Assess and recommend investment strategies to maximize returns and minimize risks.

RequirementsBackground In Microfinance Company Is a Must

  • Extensive experience in financial planning, budgeting, and forecasting within a large organization.
  • Proven experience in overseeing financial reporting, ensuring compliance with accounting standards, and working with auditors.
  • Demonstrated experience in developing and implementing risk management frameworks and internal controls.
  • Experience in managing treasury functions, including cash flow planning, working capital management, and banking relationships.
  • Experience in evaluating investment opportunities and managing capital structure within a corporate setting.