Participates in the development of the corporation's plans and programs.
Develops and communicates financial vision and strategy.
Directs preparation of annual operating and business fiscal plans (budgets).
Develops financial forecasts and monitors financial health, monitoring guardrails around financial commitments.
Works with the business to optimize business performance and planning.
Provides strategic financial input and leadership on decision making issues affecting the organization (i.e., evaluation of potential alliances acquisitions and/or mergers and pension funds and investments)
Evaluates capital expenditures, investment activities and portfolio management.
Ensures timely and accurate business/financial reports and plans; presents them to the Partners across all business units to increase financial transparency in management reporting and business line performance.
Manages investor relations function
Serves as company’s representative to financial/investment community and shareholders.
Manages banking and investment banking relationships
Undertake Investment and Hedging reconciliations.
Manage all aspects of In-house investment portfolios.
Direct, monitor all investment portfolios including Working capital, High-Yield, commercial bank correspondence bank, and other portfolios.
Develop & managelong-term and short-term investment strategies.
Determines appropriate capital structure.
Initiates and oversees execution of all capital market transactions.
Requirements
Candidates should possess Bachelor's Degrees with 0 - 2 years relevant work experience.