Develop and present structured short- and long-term financial plans.
Manage financial liquidity and budget forecasts across departments to align with company operations.
Conduct investment feasibility studies, including ROI analysis and payback period evaluations.
Prepare capital allocation plans to support executive decision-making.
Formulate financial strategies to enhance competitiveness within the industry.
Accounting & Tax Management:
Oversee the preparation and review of financial statements, including balance sheets and profit & loss reports.
Monitor and verify company transactions, receipts, and accounting entries.
Supervise budget planning and ensure expenditures align with approved budgets.
Plan and manage tax strategies, including preparing and submitting reports to relevant authorities.
Cost Accounting:
Design and manage cost accounting systems to meet organizational goals.
Define and implement standard and actual cost structures.
Review related accounting entries and analyze operational efficiency across production processes.
Qualifications:
Proven experience in financial modeling, investment strategy, mergers & acquisitions, and identifying strategic alliances or partners to support new business ventures.
Background in Investment Banking (IB) or Venture Capital (VC), with strong knowledge of digital transformation.
Bachelor's degree or higher in Accounting, Finance, or a related discipline.
CPA and/or CFA certification is a plus.
Strong interpersonal skills, logical thinking, self-motivation, and a proactive learning attitude.